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JSF margin selling Ranking Number of increase         06/05    CONFIRM

Ranki

Stock Code

Name

Number of changes

Balance this time

Last balance

1 1357 NEXT FUNDS Nikkei 225 Double Inverse Index ETF 397042 2374007 1976965
2 7203 TOYOTA MOTOR CORPORATION 305600 518600 213000
3 9107 Kawasaki Kisen Kaisha,Ltd. 294400 1957000 1662600
4 5406 Kobe Steel,Ltd. 243500 777700 534200
5 6740 Japan Display Inc. 230600 1432300 1201700
6 6857 ADVANTEST CORPORATION 228000 830200 602200
7 9983 FAST RETAILING CO.,LTD. 221600 826000 604400
8 5108 BRIDGESTONE CORPORATION 150400 457200 306800
9 7201 NISSAN MOTOR CO.,LTD. 139900 284500 144600
10 4574 TAIKO PHARMACEUTICAL CO.,LTD. 135500 203700 68200
11 6817 SUMIDA CORPORATION 129400 539800 410400
12 7610 TAY TWO CO.,LTD. 123100 770000 646900
13 7182 JAPAN POST BANK Co.,Ltd. 117600 581400 463800
14 7267 HONDA MOTOR CO.,LTD. 114500 393400 278900
15 1605 INPEX CORPORATION 109600 120400 10800
16 6758 SONY CORPORATION 108700 211100 102400
17 7261 Mazda Motor Corporation 105700 154800 49100
18 4005 SUMITOMO CHEMICAL COMPANY,LIMITED 84700 194000 109300
19 1518 MITSUI MATSUSHIMA HOLDINGS CO.,LTD. 81200 544500 463300
20 8058 Mitsubishi Corporation 80100 140100 60000
21 4448 Chatwork Co.,Ltd. 74400 646000 571600
22 1321 NEXT FUNDS Nikkei 225 Exchange Traded Fund 69313 298879 229566
23 7751 CANON INC. 63200 323300 260100
24 6506 YASKAWA Electric Corporation 59700 540700 481000
25 4661 ORIENTAL LAND CO.,LTD. 57400 500600 443200
26 7211 MITSUBISHI MOTORS CORPORATION 57100 60900 3800
27 4382 HEROZ,Inc. 54500 411000 356500
28 8801 Mitsui Fudosan Co.,Ltd. 49800 66900 17100
29 4385 Mercari,Inc. 49700 225100 175400
30 6954 FANUC CORPORATION 48600 96400 47800
31 6501 Hitachi,Ltd. 47600 186500 138900
32 6902 DENSO CORPORATION 45100 141700 96600
33 5101 The Yokohama Rubber Company,Limited 44600 324500 279900
34 7167 Mebuki Financial Group,Inc. 43600 81700 38100
35 9104 Mitsui O.S.K.Lines,Ltd. 41800 386000 344200
36 6305 Hitachi Construction Machinery Co.,Ltd. 39200 65400 26200
37 5803 Fujikura Ltd. 37500 267900 230400
38 1570 NEXT FUNDS Nikkei 225 Leveraged Index Exchange Traded Fund 36704 3331144 3294440
39 1911 Sumitomo Forestry Co.,Ltd. 34700 86800 52100
40 5401 NIPPON STEEL CORPORATION 33100 38700 5600
41 1802 OBAYASHI CORPORATION 32700 176100 143400
42 2702 McDonald's Holdings Company(Japan),Ltd. 32400 115500 83100
43 3003 Hulic Co.,Ltd. 32100 46000 13900
44 8002 Marubeni Corporation 31900 43100 11200
45 3197 SKYLARK HOLDINGS CO.,LTD. 31600 295400 263800
46 4689 Z Holdings Corporation 31400 85400 54000
47 2685 Adastria Co.,Ltd. 30800 67400 36600
48 1801 TAISEI CORPORATION 30600 168700 138100
49 1678 NEXT FUNDS Nifty 50 Linked Exchange Traded Fund 30100 253000 222900
50 8604 Nomura Holdings, Inc. 30000 107000 77000