Ranki |
Stock Code |
Name |
Rate of change |
Balance this time |
Last balance |
---|---|---|---|---|---|
1 | 1357 | NEXT FUNDS Nikkei 225 Double Inverse Index ETF | -10.0 | 4038607 | 4485872 |
2 | 9432 | NIPPON TELEGRAPH AND TELEPHONE CORPORATION | -100.0 | 0 | 392500 |
3 | 6740 | Japan Display Inc. | -6.3 | 4828300 | 5151700 |
4 | 7647 | ONTSU Co.,Ltd. | -21.7 | 1108100 | 1416000 |
5 | 4597 | Solasia Pharma K.K. | -100.0 | 0 | 140400 |
6 | 8515 | AIFUL CORPORATION | -22.7 | 381800 | 493700 |
7 | 1570 | NEXT FUNDS Nikkei 225 Leveraged Index Exchange Traded Fund | -17.9 | 396817 | 483525 |
8 | 3186 | NEXTAGE Co.,Ltd. | -9.8 | 558400 | 619200 |
9 | 9227 | None | -14.4 | 336100 | 392700 |
10 | 6770 | ALPS ALPINE CO.,LTD. | -43.9 | 65100 | 116000 |
11 | 4689 | Z Holdings Corporation | -46.4 | 53000 | 98900 |
12 | 5108 | BRIDGESTONE CORPORATION | -53.0 | 39600 | 84200 |
13 | 9509 | Hokkaido Electric Power Company,Incorporated | -34.0 | 76500 | 115900 |
14 | 9064 | YAMATO HOLDINGS CO.,LTD. | -64.1 | 19300 | 53700 |
15 | 4967 | KOBAYASHI PHARMACEUTICAL CO.,LTD. | -1.8 | 1742500 | 1774900 |
16 | 2193 | Cookpad Inc. | -9.5 | 275400 | 304400 |
17 | 6752 | Panasonic Corporation | -77.7 | 8000 | 35900 |
18 | 3994 | Money Forward,Inc. | -7.9 | 286300 | 310700 |
19 | 4911 | Shiseido Company,Limited | -14.6 | 138300 | 162000 |
20 | 4564 | OncoTherapy Science,Inc. | -1.8 | 1289000 | 1312600 |
21 | 7205 | HINO MOTORS,LTD. | -47.3 | 25100 | 47600 |
22 | 7211 | MITSUBISHI MOTORS CORPORATION | -72.1 | 8500 | 30500 |
23 | 9506 | Tohoku Electric Power Company,Incorporated | -98.5 | 300 | 20300 |
24 | 4506 | Sumitomo Dainippon Pharma Co.,Ltd. | -19.8 | 76200 | 95000 |
25 | 8308 | Resona Holdings, Inc. | -3.8 | 467300 | 486000 |
26 | 6098 | Recruit Holdings Co.,Ltd. | -24.1 | 55700 | 73400 |
27 | 4425 | Kudan Inc. | -7.2 | 202300 | 218000 |
28 | 3656 | KLab Inc. | -7.6 | 187800 | 203300 |
29 | 5129 | None | -4.4 | 294200 | 307900 |
30 | 2503 | Kirin Holdings Company,Limited | -28.1 | 34500 | 48000 |
31 | 9107 | Kawasaki Kisen Kaisha,Ltd. | -1.1 | 1223500 | 1236700 |
32 | 3222 | United Super Markets Holdings Inc. | -11.0 | 106000 | 119100 |
33 | 2337 | Ichigo Inc. | -17.4 | 61700 | 74700 |
34 | 6072 | Jibannet Holdings Co.,Ltd. | -11.8 | 94100 | 106700 |
35 | 2811 | KAGOME CO.,LTD. | -66.7 | 6300 | 18900 |
36 | 8058 | Mitsubishi Corporation | -98.3 | 200 | 11800 |
37 | 3099 | Isetan Mitsukoshi Holdings Ltd. | -2.7 | 394500 | 405500 |
38 | 3436 | SUMCO CORPORATION | -64.7 | 6000 | 17000 |
39 | 8370 | The Kiyo Bank,Ltd. | -38.1 | 16400 | 26500 |
40 | 3382 | Seven & I Holdings Co.,Ltd. | -52.9 | 8900 | 18900 |
41 | 5020 | ENEOS Holdings,Inc. | -8.6 | 102000 | 111600 |
42 | 5411 | JFE Holdings,Inc. | -33.2 | 18700 | 28000 |
43 | 4574 | TAIKO PHARMACEUTICAL CO.,LTD. | -5.0 | 175500 | 184700 |
44 | 9873 | KFC Holdings Japan,Ltd. | -24.9 | 27800 | 37000 |
45 | 6506 | YASKAWA Electric Corporation | -8.2 | 98900 | 107700 |
46 | 5831 | None | -39.2 | 13500 | 22200 |
47 | 6971 | KYOCERA CORPORATION | -10.8 | 70100 | 78600 |
48 | 3905 | Datasection Inc. | -14.3 | 50800 | 59300 |
49 | 4324 | DENTSU GROUP INC. | -37.1 | 14400 | 22900 |
50 | 4005 | SUMITOMO CHEMICAL COMPANY,LIMITED | -18.5 | 37000 | 45400 |