Ranki |
Stock Code |
Name |
Rate of change |
Balance this time |
Last balance |
---|---|---|---|---|---|
1 | 2540 | YOMEISHU SEIZO CO.,LTD. | 5108.2 | 317700 | 6100 |
2 | 4268 | None | 1500.0 | 1600 | 100 |
3 | 1477 | iShares MSCI Japan Minimum Volatility (ex-REITs) ETF | 1500.0 | 96 | 6 |
4 | 1871 | P.S. Mitsubishi Construction Co., Ltd. | 1060.0 | 5800 | 500 |
5 | 1659 | iShares US REIT ETF | 917.3 | 763 | 75 |
6 | 8462 | Future Venture Capital Co.,Ltd. | 723.6 | 104600 | 12700 |
7 | 2121 | mixi,Inc. | 675.0 | 3100 | 400 |
8 | 1555 | Listed Index Fund Australian REIT (S&P/ASX200 A-REIT) | 575.0 | 270 | 40 |
9 | 2846 | None | 557.3 | 7230 | 1100 |
10 | 7539 | AINAVO HOLDINGS Co.,Ltd. | 528.6 | 8800 | 1400 |
11 | 6125 | OKAMOTO MACHINE TOOL WORKS,LTD. | 514.9 | 119300 | 19400 |
12 | 8905 | AEON Mall Co.,Ltd. | 492.3 | 7700 | 1300 |
13 | 2790 | NAFCO Co.,Ltd. | 475.0 | 2300 | 400 |
14 | 6037 | FIRSTLOGIC,INC. | 470.8 | 27400 | 4800 |
15 | 2217 | Morozoff Limited | 457.1 | 3900 | 700 |
16 | 6698 | ViSCO Technologies Corporation | 437.5 | 4300 | 800 |
17 | 7846 | PILOT CORPORATION | 433.3 | 1600 | 300 |
18 | 2602 | The Nisshin OilliO Group,Ltd. | 423.3 | 22500 | 4300 |
19 | 5580 | None | 398.2 | 28400 | 5700 |
20 | 9052 | Sanyo Electric Railway Co.,Ltd. | 371.4 | 3300 | 700 |
21 | 2590 | DyDo GROUP HOLDINGS,INC. | 350.0 | 900 | 200 |
22 | 3065 | Life Foods Co.,Ltd. | 350.0 | 900 | 200 |
23 | 1698 | Listed Index Fund Japan High Dividend | 326.1 | 980 | 230 |
24 | 2522 | iShares Automation & Robot ETF | 285.7 | 27 | 7 |
25 | 3943 | None | 275.0 | 1500 | 400 |
26 | 1815 | TEKKEN CORPORATION | 247.4 | 6600 | 1900 |
27 | 2238 | None | 241.9 | 212 | 62 |
28 | 4912 | Lion Corporation | 236.4 | 14800 | 4400 |
29 | 7459 | MEDIPAL HOLDINGS CORPORATION | 200.0 | 600 | 200 |
30 | 7823 | ARTNATURE INC. | 200.0 | 300 | 100 |
31 | 7821 | MAEDA KOSEN CO.,LTD. | 195.5 | 26000 | 8800 |
32 | 3132 | MACNICA FUJI ELECTRONICS HOLDINGS,INC. | 194.1 | 74700 | 25400 |
33 | 9242 | None | 190.9 | 6400 | 2200 |
34 | 8343 | THE AKITA BANK,LTD. | 180.0 | 1400 | 500 |
35 | 7508 | G-7 HOLDINGS Inc. | 172.7 | 3000 | 1100 |
36 | 7033 | Management Solutions Co.,Ltd. | 167.5 | 42000 | 15700 |
37 | 3753 | FLIGHT HOLDINGS Inc. | 163.2 | 5000 | 1900 |
38 | 3668 | COLOPL,Inc. | 160.1 | 52800 | 20300 |
39 | 2569 | Listed Index Fund US Equity (NASDAQ100) Currency Hedge | 157.6 | 3040 | 1180 |
40 | 6420 | FUKUSHIMA GALILEI CO.LTD. | 150.0 | 2500 | 1000 |
41 | 3333 | ASAHI CO.,LTD. | 150.0 | 2000 | 800 |
42 | 4725 | CAC Holdings Corporation | 150.0 | 500 | 200 |
43 | 6292 | KAWATA MFG. CO.,LTD. | 149.3 | 16700 | 6700 |
44 | 5943 | NORITZ CORPORATION | 148.6 | 9200 | 3700 |
45 | 2866 | None | 141.3 | 1110 | 460 |
46 | 2856 | None | 140.8 | 3420 | 1420 |
47 | 4462 | ISHIHARA CHEMICAL CO.,LTD. | 140.0 | 3600 | 1500 |
48 | 1472 | NEXT FUNDS JPX-Nikkei 400 Double Inverse Index Exchange Traded Fund | 136.0 | 2044 | 866 |
49 | 3493 | ITOCHU Advance Logistics Investment Corporation | 131.8 | 51 | 22 |
50 | 2678 | ASKUL Corporation | 131.4 | 8100 | 3500 |