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JSF margin buying Ranking Number of increase         04/02    CONFIRM

Ranki

Stock Code

Name

Number of changes

Balance this time

Last balance

1 1360 Nikkei225 Bear -2x ETF 2254910 7325230 5070320
2 5401 NIPPON STEEL CORPORATION 1015200 6136100 5120900
3 6740 Japan Display Inc. 782100 12802400 12020300
4 8729 None 626600 7833300 7206700
5 6619 W-SCOPE Corporation 583900 1102100 518200
6 2930 Kitanotatsujin Corporation 553600 1425800 872200
7 9509 Hokkaido Electric Power Company,Incorporated 413100 894700 481600
8 1459 Rakuten ETF - Nikkei 225 Double Inverse Index 367779 1426566 1058787
9 5202 Nippon Sheet Glass Company,Limited 358200 1022000 663800
10 2207 Meito Sangyo Co.,Ltd. 303100 309300 6200
11 8267 AEON CO.,LTD. 279700 340100 60400
12 3350 Red Planet Japan,Inc. 251900 6253000 6001100
13 3807 FISCO Ltd. 223900 430100 206200
14 8386 The Hyakujushi Bank,Ltd. 220900 362300 141400
15 5955 YAMASHINA CORPORATION 217300 1273700 1056400
16 8308 Resona Holdings, Inc. 211100 521300 310200
17 9984 SoftBank Group Corp. 197300 6004400 5807100
18 1366 Daiwa ETF Japan Nikkei225 Double Inverse Index 193599 493903 300304
19 4091 NIPPON SANSO HOLDINGS CORPORATION 174400 177300 2900
20 1514 Sumiseki Holdings,Inc. 172400 683300 510900
21 1579 Nikkei 225 Bull 2x ETF 156880 2016370 1859490
22 2134 Sun Capital Management Corp. 145800 1238000 1092200
23 7389 None 125800 822500 696700
24 2778 PALEMO HOLDINGS CO.,LTD. 120200 459300 339100
25 2492 Infomart Corporation 118500 521900 403400
26 1605 INPEX CORPORATION 114900 426500 311600
27 6240 YAMASHIN-FILTER CORP. 112600 351900 239300
28 8473 SBI Holdings,Inc. 107600 3168100 3060500
29 8336 The Musashino Bank,Ltd. 107500 157800 50300
30 3996 Signpost Corporation 105900 257600 151700
31 8524 North Pacific Bank,Ltd. 103300 454600 351300
32 4192 None 98800 325000 226200
33 7532 Pan Pacific International Holdings Corporation 97900 382900 285000
34 4418 None 90800 221700 130900
35 3680 Hotto Link Inc. 85100 179800 94700
36 9760 SHINGAKUKAI HOLDINGS CO.,LTD. 84400 85500 1100
37 2193 Cookpad Inc. 80000 1087900 1007900
38 3656 KLab Inc. 75200 4788600 4713400
39 1357 NEXT FUNDS Nikkei 225 Double Inverse Index ETF 69417 766990 697573
40 8550 THE TOCHIGI BANK,LTD. 69000 345400 276400
41 4169 ENECHANGE Ltd. 68600 604800 536200
42 7014 Namura Shipbuilding Co.,Ltd. 68600 404400 335800
43 7974 Nintendo Co.,Ltd. 67700 893600 825900
44 3667 enish,inc. 66400 117400 51000
45 9616 KYORITSU MAINTENANCE CO.,LTD. 66400 115100 48700
46 4188 Mitsubishi Chemical Holdings Corporation 66300 161900 95600
47 314 None 66170 687510 621340
48 5218 OHARA INC. 65500 94300 28800
49 8614 TOYO SECURITIES CO.,LTD. 59800 493100 433300
50 6857 ADVANTEST CORPORATION 57600 405100 347500