日本語 | English

JSF margin selling Ranking Number of drops         Updated 0305

Ranki

Stock Code

Name

Number of changes

Balance this time

Last balance

1 9023 None -875200 276200 1151400
2 464 None -312600 152900 465500
3 9432 NIPPON TELEGRAPH AND TELEPHONE CORPORATION -299100 0 299100
4 4151 Kyowa Kirin Co.,Ltd. -213200 4300 217500
5 5726 OSAKA Titanium technologies Co.,Ltd. -192000 1189900 1381900
6 3656 KLab Inc. -151900 4034600 4186500
7 7203 TOYOTA MOTOR CORPORATION -124300 605100 729400
8 7383 None -101600 560500 662100
9 1345 Listed Index Fund J-REIT (Tokyo Stock Exchange REIT Index) -73600 3500 77100
10 6993 Daikokuya Holdings Co.,Ltd. -71200 5816900 5888100
11 3103 UNITIKA LTD. -63100 603200 666300
12 9843 Nitori Holdings Co.,Ltd. -59300 215600 274900
13 7201 NISSAN MOTOR CO.,LTD. -56600 472200 528800
14 4974 TAKARA BIO INC. -53400 41000 94400
15 1563 TSE Mothers Core ETF -50144 2284 52428
16 2353 NIPPON PARKING DEVELOPMENT Co.,Ltd. -48500 347300 395800
17 1398 SMDAM REIT Index ETF -46840 11690 58530
18 6981 Murata Manufacturing Co.,Ltd. -42400 300 42700
19 9005 TOKYU CORPORATION -38500 120600 159100
20 1306 NEXT FUNDS TOPIX Exchange Traded Fund -33380 34250 67630
21 8267 AEON CO.,LTD. -32100 436600 468700
22 7860 Avex Inc. -31100 32400 63500
23 5020 ENEOS Holdings,Inc. -27700 4200 31900
24 8524 North Pacific Bank,Ltd. -27600 539800 567400
25 9831 YAMADA HOLDINGS CO.,LTD. -26400 158200 184600
26 9202 ANA HOLDINGS INC. -25200 29200 54400
27 3668 COLOPL,Inc. -24800 140100 164900
28 8113 UNICHARM CORPORATION -24300 14400 38700
29 9024 SEIBU HOLDINGS INC. -23500 176800 200300
30 3563 Sushiro Global Holdings Ltd. -23300 30300 53600
31 3086 J.FRONT RETAILING Co.,Ltd. -22700 33700 56400
32 1570 NEXT FUNDS Nikkei 225 Leveraged Index Exchange Traded Fund -21296 33392 54688
33 8103 Meiwa Corporation -20700 3272800 3293500
34 6619 W-SCOPE Corporation -19800 777500 797300
35 8410 Seven Bank,Ltd. -19500 127000 146500
36 9504 The Chugoku Electric Power Company,Incorporated -18400 68700 87100
37 4613 KANSAI PAINT CO.,LTD. -18200 2800 21000
38 3121 MBK Co.,Ltd. -17800 104300 122100
39 8219 AOYAMA TRADING Co.,Ltd. -17500 15900 33400
40 1357 NEXT FUNDS Nikkei 225 Double Inverse Index ETF -16348 458067 474415
41 9902 NICHIDEN Corporation -16200 7200 23400
42 5253 None -16100 1228800 1244900
43 6958 CMK CORPORATION -15500 91400 106900
44 8338 Tsukuba Bank,Ltd. -15100 402700 417800
45 1942 KANDENKO CO.,LTD. -14800 1500 16300
46 2433 HAKUHODO DY HOLDINGS INCORPORATED -14500 4800 19300
47 2579 Coca-Cola Bottlers Japan Holdings Inc. -13500 56000 69500
48 3844 COMTURE CORPORATION -12800 35000 47800
49 7821 MAEDA KOSEN CO.,LTD. -12500 107100 119600
50 9501 Tokyo Electric Power Company Holdings,Incorporated -12400 207500 219900