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JSF margin buying Ranking Number of increase         09/17    CONFIRM

Ranki

Stock Code

Name

Number of changes

Balance this time

Last balance

1 3778 SAKURA internet Inc. 503600 1165500 661900
2 8306 Mitsubishi UFJ Financial Group,Inc. 457700 5749900 5292200
3 6857 ADVANTEST CORPORATION 319400 610100 290700
4 2540 YOMEISHU SEIZO CO.,LTD. 311600 317700 6100
5 7201 NISSAN MOTOR CO.,LTD. 311200 4787300 4476100
6 6993 Daikokuya Holdings Co.,Ltd. 286400 4260100 3973700
7 1579 Nikkei 225 Bull 2x ETF 276840 9254050 8977210
8 8316 Sumitomo Mitsui Financial Group,Inc. 258700 1537300 1278600
9 7692 EARTH INFINITY CO.LTD. 249500 624100 374600
10 5032 None 134000 522200 388200
11 215 None 129800 948300 818500
12 3323 RECOMM CO.,LTD. 128700 964800 836100
13 8411 Mizuho Financial Group,Inc. 107700 736700 629000
14 1568 TOPIX Bull 2x ETF 101030 451300 350270
15 6125 OKAMOTO MACHINE TOOL WORKS,LTD. 99900 119300 19400
16 7203 TOYOTA MOTOR CORPORATION 99000 1567000 1468000
17 4883 Modalis Therapeutics Corporation 97500 456500 359000
18 8462 Future Venture Capital Co.,Ltd. 91900 104600 12700
19 7012 Kawasaki Heavy Industries,Ltd. 91500 616900 525400
20 6965 HAMAMATSU PHOTONICS K.K. 90800 181100 90300
21 9424 Japan Communications Inc. 90200 398000 307800
22 8746 DAIICHI COMMODITIES CO.,LTD. 86600 240200 153600
23 8308 Resona Holdings, Inc. 77500 239200 161700
24 3103 UNITIKA LTD. 76700 1056400 979700
25 6723 Renesas Electronics Corporation 72600 427400 354800
26 7163 None 72400 582300 509900
27 7267 HONDA MOTOR CO.,LTD. 72100 1530600 1458500
28 8035 Tokyo Electron Limited 71000 391600 320600
29 5940 FUJISASH CO.,LTD. 68100 408500 340400
30 1570 NEXT FUNDS Nikkei 225 Leveraged Index Exchange Traded Fund 65851 832981 767130
31 4689 Z Holdings Corporation 64500 1098000 1033500
32 8031 MITSUI & CO.,LTD. 60900 506400 445500
33 9434 SoftBank Corp. 60400 681300 620900
34 7013 IHI Corporation 59400 151400 92000
35 2315 CAICA Inc. 58600 1008200 949600
36 7211 MITSUBISHI MOTORS CORPORATION 56700 1054000 997300
37 3660 istyle Inc. 56200 379300 323100
38 1306 NEXT FUNDS TOPIX Exchange Traded Fund 54720 104480 49760
39 6315 TOWA CORPORATION 53000 317800 264800
40 2936 None 52900 462300 409400
41 3903 gumi Inc. 51900 705400 653500
42 3070 AMAGASA Co.,Ltd. 49500 310500 261000
43 3132 MACNICA FUJI ELECTRONICS HOLDINGS,INC. 49300 74700 25400
44 7378 None 48900 94600 45700
45 7616 COLOWIDE CO.,LTD. 45300 214900 169600
46 8473 SBI Holdings,Inc. 43700 1370200 1326500
47 3623 Billing System Corporation 38600 139200 100600
48 4882 None 38200 278300 240100
49 4597 Solasia Pharma K.K. 38100 3050700 3012600
50 6619 W-SCOPE Corporation 35800 1513200 1477400