NOMURA ASSET MANAGEMENT COMPANY LTD - Short Position History View Filer Details

Current Active Short Positions

Holder Issuer Net Short Position Position Date Origin
Nomura Asset Management Singapore Limited CareerIndex Inc. 0.64% 2020-11-30 Japan
Nomura Asset Management Singapore Limited giftee Inc. 0.52% 2020-11-30 Japan
Nomura Asset Management Singapore Limited Nousouken Corporation 0.5700000000000001% 2020-11-30 Japan
Nomura Asset Management Singapore Limited SERAKU Co.,Ltd. 0.67% 2020-11-30 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 1.39% 2020-11-30 Japan
Nomura Asset Management Singapore Limited UT Group Co.,Ltd. 0.47000000000000003% 2020-11-30 Japan

Short Position History

Holder Issuer Net Short Position Position Date Origin
Nomura Asset Management Singapore Limited Acrodea,Inc. 1.24% 2019-05-28 Japan
Nomura Asset Management Singapore Limited Acrodea,Inc. 0.73% 2019-05-17 Japan
Nomura Asset Management Singapore Limited Acrodea,Inc. 1.51% 2019-06-10 Japan
Nomura Asset Management Singapore Limited Acrodea,Inc. 1.18% 2019-05-27 Japan
Nomura Asset Management Singapore Limited Acrodea,Inc. 1.22% 2019-06-26 Japan
Nomura Asset Management Singapore Limited Acrodea,Inc. 1.4500000000000002% 2019-06-28 Japan
Nomura Asset Management Singapore Limited Acrodea,Inc. 1.08% 2019-05-24 Japan
Nomura Asset Management Singapore Limited Advantage Risk Management Co.,Ltd. 0.52% 2017-07-31 Japan
Nomura Asset Management Singapore Limited Advantage Risk Management Co.,Ltd. 0.48% 2017-08-15 Japan
Nomura Asset Management Singapore Limited Adways Inc. 0.62% 2016-03-23 Japan
Nomura Asset Management Singapore Limited Adways Inc. 0.8999999999999999% 2016-04-19 Japan
Nomura Asset Management Singapore Limited Adways Inc. 0.49% 2016-07-19 Japan
Nomura Asset Management Singapore Limited Adways Inc. 1.24% 2016-07-19 Japan
Nomura Asset Management Singapore Limited Adways Inc. 0.8% 2016-04-01 Japan
Nomura Asset Management Singapore Limited Adways Inc. 0.89% 2017-08-18 Japan
Nomura Asset Management Singapore Limited Adways Inc. 0.69% 2017-10-06 Japan
Nomura Asset Management Singapore Limited Adways Inc. 0.9900000000000001% 2016-12-29 Japan
Nomura Asset Management Singapore Limited Adways Inc. 1.06% 2016-12-06 Japan
Nomura Asset Management Singapore Limited Adways Inc. 0.9900000000000001% 2017-08-14 Japan
Nomura Asset Management Singapore Limited Adways Inc. 1.04% 2017-05-29 Japan
Nomura Asset Management Singapore Limited Adways Inc. 1.0% 2016-04-22 Japan
Nomura Asset Management Singapore Limited Adways Inc. 1.1199999999999999% 2017-06-30 Japan
Nomura Asset Management Singapore Limited Adways Inc. 0.53% 2016-03-17 Japan
Nomura Asset Management Singapore Limited Adways Inc. 0.49% 2017-10-25 Japan
Nomura Asset Management Singapore Limited Adways Inc. 0.5% 2016-06-07 Japan
Nomura Asset Management Singapore Limited Adways Inc. 1.18% 2016-11-04 Japan
Nomura Asset Management Singapore Limited Adways Inc. 1.1199999999999999% 2016-05-24 Japan
Nomura Asset Management Singapore Limited Adways Inc. 1.2% 2016-06-01 Japan
Nomura Asset Management Singapore Limited Adways Inc. 1.3% 2016-07-13 Japan
Nomura Asset Management Singapore Limited Adways Inc. 0.58% 2017-10-23 Japan
Nomura Asset Management Singapore Limited Aeria Inc. 0.63% 2017-05-12 Japan
Nomura Asset Management Singapore Limited Aeria Inc. 0.9299999999999999% 2017-04-21 Japan
Nomura Asset Management Singapore Limited Aeria Inc. 0.62% 2017-04-10 Japan
Nomura Asset Management Singapore Limited Aeria Inc. 0.53% 2017-05-16 Japan
Nomura Asset Management Singapore Limited Aeria Inc. 1.02% 2017-04-26 Japan
Nomura Asset Management Singapore Limited Aeria Inc. 0.72% 2017-04-11 Japan
Nomura Asset Management Singapore Limited Aeria Inc. 0.48% 2017-05-19 Japan
Nomura Asset Management Singapore Limited Aeria Inc. 0.52% 2017-04-07 Japan
Nomura Asset Management Singapore Limited ALLIED TELESIS HOLDINGS K.K. 0.48% 2018-05-14 Japan
Nomura Asset Management Singapore Limited BeMap,Inc. 1.02% 2017-12-15 Japan
Nomura Asset Management Singapore Limited BeMap,Inc. 0.89% 2017-12-20 Japan
Nomura Asset Management Singapore Limited BeMap,Inc. 0.7799999999999999% 2017-12-20 Japan
Nomura Asset Management Singapore Limited BeMap,Inc. 0.44999999999999996% 2017-09-05 Japan
Nomura Asset Management Singapore Limited BeMap,Inc. 1.44% 2017-12-04 Japan
Nomura Asset Management Singapore Limited BeMap,Inc. 1.17% 2017-12-04 Japan
Nomura Asset Management Singapore Limited BeMap,Inc. 1.3% 2017-12-01 Japan
Nomura Asset Management Singapore Limited BeMap,Inc. 0.62% 2017-11-07 Japan
Nomura Asset Management Singapore Limited BeMap,Inc. 0.5% 2017-11-07 Japan
Nomura Asset Management Singapore Limited BeMap,Inc. 1.02% 2017-11-29 Japan
Nomura Asset Management Singapore Limited BeMap,Inc. 0.83% 2017-11-29 Japan
Nomura Asset Management Singapore Limited BeMap,Inc. 0.5% 2017-09-20 Japan
Nomura Asset Management Singapore Limited BeMap,Inc. 1.21% 2017-12-05 Japan
Nomura Asset Management Singapore Limited BeMap,Inc. 1.35% 2017-12-06 Japan
Nomura Asset Management Singapore Limited BeMap,Inc. 0.97% 2017-11-10 Japan
Nomura Asset Management Singapore Limited BeMap,Inc. 1.08% 2017-12-12 Japan
Nomura Asset Management Singapore Limited BeMap,Inc. 0.5% 2017-08-10 Japan
Nomura Asset Management Singapore Limited BeMap,Inc. 0.63% 2017-12-22 Japan
Nomura Asset Management Singapore Limited BeMap,Inc. 0.5599999999999999% 2017-12-22 Japan
Nomura Asset Management Singapore Limited BeMap,Inc. 0.95% 2017-12-18 Japan
Nomura Asset Management Singapore Limited BeMap,Inc. 0.84% 2017-12-18 Japan
Nomura Asset Management Singapore Limited BeMap,Inc. 0.49% 2017-12-26 Japan
Nomura Asset Management Singapore Limited BeMap,Inc. 0.44% 2017-12-26 Japan
Nomura Asset Management Singapore Limited CareerIndex Inc. 0.5% 2020-11-27 Japan
Nomura Asset Management Singapore Limited COLOWIDE CO.,LTD. 0.5% 2018-02-20 Japan
Nomura Asset Management Singapore Limited COLOWIDE CO.,LTD. 0.69% 2016-03-16 Japan
Nomura Asset Management Singapore Limited COLOWIDE CO.,LTD. 0.59% 2016-08-31 Japan
Nomura Asset Management Singapore Limited COLOWIDE CO.,LTD. 0.49% 2017-04-05 Japan
Nomura Asset Management Singapore Limited COSEL CO.,LTD. 0.59% 2017-02-27 Japan
Nomura Asset Management Singapore Limited COSEL CO.,LTD. 0.49% 2017-08-23 Japan
Nomura Asset Management Singapore Limited COSEL CO.,LTD. 0.52% 2017-01-04 Japan
Nomura Asset Management Singapore Limited COSEL CO.,LTD. 0.6% 2017-02-21 Japan
Nomura Asset Management Singapore Limited COSEL CO.,LTD. 0.59% 2017-06-23 Japan
Nomura Asset Management Singapore Limited COSEL CO.,LTD. 0.6% 2017-03-24 Japan
Nomura Asset Management Singapore Limited DAI-ICHI SEIKO CO.,LTD. 0.51% 2019-10-11 Japan
Nomura Asset Management Singapore Limited DAI-ICHI SEIKO CO.,LTD. 1.01% 2020-06-08 Japan
Nomura Asset Management Singapore Limited DAI-ICHI SEIKO CO.,LTD. 0.51% 2019-12-09 Japan
Nomura Asset Management Singapore Limited DAI-ICHI SEIKO CO.,LTD. 0.8699999999999999% 2020-07-29 Japan
Nomura Asset Management Singapore Limited DAI-ICHI SEIKO CO.,LTD. 0.83% 2020-04-30 Japan
Nomura Asset Management Singapore Limited DAI-ICHI SEIKO CO.,LTD. 0.64% 2019-12-17 Japan
Nomura Asset Management Singapore Limited DAI-ICHI SEIKO CO.,LTD. 0.7100000000000001% 2019-10-30 Japan
Nomura Asset Management Singapore Limited DAI-ICHI SEIKO CO.,LTD. 0.7000000000000001% 2019-12-20 Japan
Nomura Asset Management Singapore Limited DAI-ICHI SEIKO CO.,LTD. 0.75% 2020-04-16 Japan
Nomura Asset Management Singapore Limited DAI-ICHI SEIKO CO.,LTD. 0.65% 2019-11-26 Japan
Nomura Asset Management Singapore Limited DAI-ICHI SEIKO CO.,LTD. 0.6% 2019-10-17 Japan
Nomura Asset Management Singapore Limited Digital Information Technologies Corporation 0.5599999999999999% 2020-01-08 Japan
Nomura Asset Management Singapore Limited Digital Information Technologies Corporation 0.48% 2020-02-06 Japan
Nomura Asset Management Singapore Limited enish,inc. 0.97% 2017-10-20 Japan
Nomura Asset Management Singapore Limited enish,inc. 1.18% 2017-11-08 Japan
Nomura Asset Management Singapore Limited enish,inc. 1.11% 2017-10-24 Japan
Nomura Asset Management Singapore Limited enish,inc. 1.32% 2017-10-30 Japan
Nomura Asset Management Singapore Limited enish,inc. 1.02% 2017-10-23 Japan
Nomura Asset Management Singapore Limited enish,inc. 0.41000000000000003% 2018-01-17 Japan
Nomura Asset Management Singapore Limited enish,inc. 1.01% 2017-11-13 Japan
Nomura Asset Management Singapore Limited enish,inc. 0.62% 2018-01-16 Japan
Nomura Asset Management Singapore Limited enish,inc. 0.98% 2017-11-21 Japan
Nomura Asset Management Singapore Limited Evolable Asia Corp. 0.5% 2017-05-17 Japan
Nomura Asset Management Singapore Limited FALTEC Co.,Ltd. 0.67% 2019-12-04 Japan
Nomura Asset Management Singapore Limited FALTEC Co.,Ltd. 0.61% 2019-12-17 Japan
Nomura Asset Management Singapore Limited FALTEC Co.,Ltd. 0.4% 2019-12-26 Japan
Nomura Asset Management Singapore Limited Fixstars Corporation 0.5599999999999999% 2019-09-04 Japan
Nomura Asset Management Singapore Limited Fixstars Corporation 0.53% 2019-02-20 Japan
Nomura Asset Management Singapore Limited Fixstars Corporation 0.6% 2019-03-01 Japan
Nomura Asset Management Singapore Limited Fixstars Corporation 0.42% 2019-09-13 Japan
Nomura Asset Management Singapore Limited FLIGHT HOLDINGS Inc. 1.22% 2018-07-12 Japan
Nomura Asset Management Singapore Limited FLIGHT HOLDINGS Inc. 1.3299999999999998% 2018-11-05 Japan
Nomura Asset Management Singapore Limited FLIGHT HOLDINGS Inc. 1.38% 2018-12-26 Japan
Nomura Asset Management Singapore Limited FLIGHT HOLDINGS Inc. 1.06% 2018-07-10 Japan
Nomura Asset Management Singapore Limited FLIGHT HOLDINGS Inc. 1.38% 2018-07-24 Japan
Nomura Asset Management Singapore Limited FLIGHT HOLDINGS Inc. 1.01% 2019-02-13 Japan
Nomura Asset Management Singapore Limited FLIGHT HOLDINGS Inc. 1.17% 2019-02-12 Japan
Nomura Asset Management Singapore Limited FLIGHT HOLDINGS Inc. 1.44% 2018-11-12 Japan
Nomura Asset Management Singapore Limited FLIGHT HOLDINGS Inc. 1.54% 2018-11-26 Japan
Nomura Asset Management Singapore Limited FLIGHT HOLDINGS Inc. 0.35000000000000003% 2019-03-08 Japan
Nomura Asset Management Singapore Limited FLIGHT HOLDINGS Inc. 0.69% 2018-06-13 Japan
Nomura Asset Management Singapore Limited FLIGHT HOLDINGS Inc. 0.8500000000000001% 2018-06-19 Japan
Nomura Asset Management Singapore Limited FLIGHT HOLDINGS Inc. 0.67% 2019-02-15 Japan
Nomura Asset Management Singapore Limited FLIGHT HOLDINGS Inc. 0.9299999999999999% 2018-08-11 Japan
Nomura Asset Management Singapore Limited FLIGHT HOLDINGS Inc. 0.52% 2018-06-08 Japan
Nomura Asset Management Singapore Limited FLIGHT HOLDINGS Inc. 1.1199999999999999% 2018-07-11 Japan
Nomura Asset Management Singapore Limited FRONTEO,Inc. 1.1400000000000001% 2020-11-10 Japan
Nomura Asset Management Singapore Limited FRONTEO,Inc. 0.97% 2020-10-27 Japan
Nomura Asset Management Singapore Limited FRONTEO,Inc. 0.53% 2020-07-22 Japan
Nomura Asset Management Singapore Limited FRONTEO,Inc. 0.72% 2020-09-23 Japan
Nomura Asset Management Singapore Limited FRONTEO,Inc. 0.8500000000000001% 2020-10-23 Japan
Nomura Asset Management Singapore Limited FRONTEO,Inc. 0.8500000000000001% 2020-09-04 Japan
Nomura Asset Management Singapore Limited FRONTEO,Inc. 0.54% 2020-10-15 Japan
Nomura Asset Management Singapore Limited FRONTEO,Inc. 1.0% 2020-10-29 Japan
Nomura Asset Management Singapore Limited FRONTEO,Inc. 0.74% 2020-08-17 Japan
Nomura Asset Management Singapore Limited FRONTEO,Inc. 1.05% 2020-11-18 Japan
Nomura Asset Management Singapore Limited FRONTEO,Inc. 0.45999999999999996% 2020-09-25 Japan
Nomura Asset Management Singapore Limited FRONTEO,Inc. 0.62% 2020-07-29 Japan
Nomura Asset Management Singapore Limited FUJI KYUKO CO.,LTD. 0.5% 2018-08-03 Japan
Nomura Asset Management Singapore Limited FUJI KYUKO CO.,LTD. 0.49% 2019-11-25 Japan
Nomura Asset Management Singapore Limited FUJI KYUKO CO.,LTD. 0.5% 2019-10-18 Japan
Nomura Asset Management Singapore Limited FUJI KYUKO CO.,LTD. 0.49% 2019-06-12 Japan
Nomura Asset Management Singapore Limited FUJI KYUKO CO.,LTD. 0.58% 2018-11-02 Japan
Nomura Asset Management Singapore LTD Fujikura Rubber Ltd. 0.49% 2015-07-21 Japan
Nomura Asset Management Singapore Limited FUJIO FOOD SYSTEM Co.,Ltd 0.5% 2019-12-17 Japan
Nomura Asset Management Singapore Limited FUJIO FOOD SYSTEM Co.,Ltd. 0.69% 2020-06-08 Japan
Nomura Asset Management Singapore Limited FUJIO FOOD SYSTEM Co.,Ltd. 0.7100000000000001% 2020-05-18 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 1.2% 2017-08-25 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.62% 2019-07-16 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.49% 2019-07-16 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.66% 2018-05-08 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 2.1999999999999997% 2017-11-29 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.5499999999999999% 2018-05-15 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.45999999999999996% 2018-05-15 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 1.81% 2017-10-20 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 1.15% 2019-06-21 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.9299999999999999% 2019-06-21 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 2.08% 2018-04-04 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 1.9% 2017-10-30 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 1.26% 2019-06-19 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.76% 2018-05-09 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 1.25% 2019-03-05 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 2.39% 2018-02-20 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.58% 2019-07-17 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.5% 2018-08-29 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 1.69% 2018-04-17 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.49% 2018-07-04 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 2.25% 2017-12-06 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.7799999999999999% 2017-08-16 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 1.1199999999999999% 2019-03-04 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.52% 2019-03-04 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.58% 2017-08-14 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 1.0699999999999998% 2019-03-04 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.8999999999999999% 2017-08-18 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.69% 2017-08-15 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.5% 2017-08-15 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.9900000000000001% 2018-04-26 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 2.42% 2018-01-29 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 1.08% 2019-07-03 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 1.47% 2018-04-24 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 1.3599999999999999% 2019-03-12 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.5% 2018-08-13 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.76% 2019-07-10 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.6% 2019-07-10 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.61% 2019-02-22 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.53% 2019-02-22 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 1.79% 2017-10-16 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.45999999999999996% 2019-08-13 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.49% 2018-09-14 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 1.0999999999999999% 2018-04-25 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.95% 2019-02-27 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.8200000000000001% 2019-02-27 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.97% 2019-07-09 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.48% 2019-07-09 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.77% 2019-07-09 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.58% 2018-06-25 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 1.3299999999999998% 2017-09-05 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 1.02% 2017-09-05 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.9900000000000001% 2018-03-27 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 1.7999999999999998% 2018-04-06 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.67% 2018-05-11 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.5499999999999999% 2018-05-11 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 2.12% 2017-11-28 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 1.04% 2017-08-22 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.8200000000000001% 2019-02-26 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.7100000000000001% 2019-02-26 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.79% 2018-05-02 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.9400000000000001% 2017-08-30 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 1.79% 2018-04-09 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.89% 2018-04-09 Japan
Nomura Asset Management Singapore Limited GOYO INTEX CO.,LTD. 0.89% 2018-05-07 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 1.4000000000000001% 2019-10-11 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 0.49% 2020-08-21 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 1.03% 2019-03-05 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 1.18% 2019-08-14 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 1.4000000000000001% 2019-10-24 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 1.27% 2019-08-16 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 0.9900000000000001% 2020-08-18 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 1.38% 2019-12-09 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 1.31% 2020-05-11 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 0.49% 2020-05-11 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 1.17% 2019-12-27 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 0.72% 2019-02-18 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 1.5% 2019-11-11 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 0.9400000000000001% 2019-03-04 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 0.64% 2019-02-12 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 0.8999999999999999% 2019-05-15 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 1.3% 2019-09-27 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 0.96% 2019-03-08 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 1.3% 2019-08-20 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 0.97% 2019-07-09 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 1.49% 2020-05-22 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 0.89% 2019-04-08 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 1.1900000000000002% 2020-07-01 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 0.59% 2019-02-08 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 1.24% 2019-12-26 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 0.48% 2019-12-26 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 1.27% 2020-04-20 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 1.24% 2019-09-13 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 0.89% 2020-08-28 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 0.69% 2020-10-29 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 1.51% 2020-05-18 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 0.59% 2020-11-24 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 1.39% 2019-10-18 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 1.44% 2019-11-15 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 1.0% 2019-06-14 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 0.5% 2020-02-20 Japan
Nomura Asset Management Singapore Limited GRACE TECHNOLOGY,INC. 1.0699999999999998% 2020-08-06 Japan
Nomura Asset Management Singapore Limited Harmonic Drive Systems Inc. 0.59% 2017-08-14 Japan
Nomura Asset Management Singapore Limited Harmonic Drive Systems Inc. 0.9199999999999999% 2015-09-30 Japan
Nomura Asset Management Singapore Limited Harmonic Drive Systems Inc. 0.79% 2016-12-07 Japan
Nomura Asset Management Singapore Limited Harmonic Drive Systems Inc. 0.49% 2017-09-08 Japan
Nomura Asset Management Singapore Limited Harmonic Drive Systems Inc. 0.89% 2016-04-22 Japan
Nomura Asset Management Singapore Limited Harmonic Drive Systems Inc. 0.69% 2017-06-02 Japan
Nomura Asset Management Singapore Limited Harmonic Drive Systems Inc. 0.8% 2015-08-03 Japan
Nomura Asset Management Singapore Limited HIOKI E.E.CORPORATION 0.59% 2019-06-12 Japan
Nomura Asset Management Singapore Limited HIOKI E.E.CORPORATION 0.49% 2019-06-19 Japan
Nomura Asset Management Singapore Limited HIOKI E.E.CORPORATION 0.79% 2019-04-23 Japan
Nomura Asset Management Singapore Limited HIOKI E.E.CORPORATION 0.8% 2019-01-29 Japan
Nomura Asset Management Singapore Limited HIOKI E.E.CORPORATION 0.6799999999999999% 2019-05-24 Japan
Nomura Asset Management Singapore Limited HIOKI E.E.CORPORATION 0.7000000000000001% 2018-12-26 Japan
Nomura Asset Management Singapore Limited HIOKI E.E.CORPORATION 0.62% 2018-12-20 Japan
Nomura Asset Management Singapore Limited HIOKI E.E.CORPORATION 0.52% 2018-12-04 Japan
Nomura Asset Management Singapore Limited HODEN SEIMITSU KAKO KENKYUSHO CO.,LTD. 0.63% 2018-07-03 Japan
Nomura Asset Management Singapore Limited HODEN SEIMITSU KAKO KENKYUSHO CO.,LTD. 0.84% 2018-07-04 Japan
Nomura Asset Management Singapore Limited HODEN SEIMITSU KAKO KENKYUSHO CO.,LTD. 0.7000000000000001% 2018-07-04 Japan
Nomura Asset Management Singapore Limited HODEN SEIMITSU KAKO KENKYUSHO CO.,LTD. 0.48% 2018-12-07 Japan
Nomura Asset Management Singapore Limited HODEN SEIMITSU KAKO KENKYUSHO CO.,LTD. 0.7100000000000001% 2018-07-02 Japan
Nomura Asset Management Singapore Limited HODEN SEIMITSU KAKO KENKYUSHO CO.,LTD. 0.69% 2018-11-13 Japan
Nomura Asset Management Singapore Limited HODEN SEIMITSU KAKO KENKYUSHO CO.,LTD. 0.61% 2018-06-27 Japan
Nomura Asset Management Singapore Limited HODEN SEIMITSU KAKO KENKYUSHO CO.,LTD. 0.51% 2018-06-27 Japan
Nomura Asset Management Singapore Limited HODEN SEIMITSU KAKO KENKYUSHO CO.,LTD. 0.5499999999999999% 2018-06-25 Japan
Nomura Asset Management Singapore Limited HODEN SEIMITSU KAKO KENKYUSHO CO.,LTD. 0.79% 2018-10-03 Japan
Nomura Asset Management Singapore Limited HODEN SEIMITSU KAKO KENKYUSHO CO.,LTD. 0.8099999999999999% 2018-10-02 Japan
Nomura Asset Management Singapore Limited HODEN SEIMITSU KAKO KENKYUSHO CO.,LTD. 0.8999999999999999% 2018-08-03 Japan
Nomura Asset Management Singapore Limited HODEN SEIMITSU KAKO KENKYUSHO CO.,LTD. 0.58% 2018-12-03 Japan
Nomura Asset Management Singapore Limited HODEN SEIMITSU KAKO KENKYUSHO CO.,LTD. 0.49% 2018-12-03 Japan
Nomura Asset Management Singapore Limited HODEN SEIMITSU KAKO KENKYUSHO CO.,LTD. 0.58% 2018-11-20 Japan
Nomura Asset Management Singapore Limited HOSOYA PYRO-ENGINEERING CO.,LTD. 0.62% 2017-10-30 Japan
Nomura Asset Management Singapore Limited HOSOYA PYRO-ENGINEERING CO.,LTD. 0.54% 2018-01-10 Japan
Nomura Asset Management Singapore Limited I'LL INC 0.6799999999999999% 2020-09-01 Japan
Nomura Asset Management Singapore Limited I'LL INC 0.59% 2020-09-02 Japan
Nomura Asset Management Singapore Limited I'LL INC 0.8500000000000001% 2020-08-17 Japan
Nomura Asset Management Singapore Limited I'LL INC 0.8999999999999999% 2020-06-11 Japan
Nomura Asset Management Singapore Limited I'LL INC 0.5% 2020-05-18 Japan
Nomura Asset Management Singapore Limited I'LL INC 0.79% 2020-08-21 Japan
Nomura Asset Management Singapore Limited I'LL INC 0.6799999999999999% 2020-06-08 Japan
Nomura Asset Management Singapore Limited I'LL INC 0.8099999999999999% 2020-06-10 Japan
Nomura Asset Management Singapore Limited I'LL INC 0.91% 2020-07-20 Japan
Nomura Asset Management Singapore Limited I-PEX Inc. 0.64% 2020-10-08 Japan
Nomura Asset Management Singapore Limited I-PEX Inc. 0.73% 2020-10-23 Japan
Nomura Asset Management Singapore Limited I-PEX Inc. 0.45999999999999996% 2020-11-13 Japan
Nomura Asset Management Singapore Limited I-PEX Inc. 0.76% 2020-08-19 Japan
Nomura Asset Management Singapore Limited I-PEX Inc. 0.59% 2020-11-11 Japan
Nomura Asset Management Singapore Limited I-PEX Inc. 0.59% 2020-09-30 Japan
Nomura Asset Management Singapore Limited I-PEX Inc. 0.67% 2020-11-10 Japan
Nomura Asset Management Singapore Limited Impact HD Inc. 0.53% 2019-07-09 Japan
Nomura Asset Management Singapore Limited Impact HD Inc. 0.62% 2019-07-11 Japan
Nomura Asset Management Singapore Limited Impact HD Inc. 0.8200000000000001% 2019-07-26 Japan
Nomura Asset Management Singapore Limited Impact HD Inc. 0.73% 2019-07-24 Japan
Nomura Asset Management Singapore Limited Impact HD Inc. 0.16999999999999998% 2019-08-14 Japan
Nomura Asset Management Singapore Limited IR Japan Holdings,Ltd. 0.69% 2019-09-05 Japan
Nomura Asset Management Singapore Limited IR Japan Holdings,Ltd. 0.5% 2020-07-17 Japan
Nomura Asset Management Singapore Limited IR Japan Holdings,Ltd. 0.91% 2019-10-30 Japan
Nomura Asset Management Singapore Limited IR Japan Holdings,Ltd. 0.51% 2019-08-05 Japan
Nomura Asset Management Singapore Limited IR Japan Holdings,Ltd. 0.48% 2020-07-20 Japan
Nomura Asset Management Singapore Limited IR Japan Holdings,Ltd. 0.8099999999999999% 2019-09-09 Japan
Nomura Asset Management Singapore Limited IR Japan Holdings,Ltd. 0.8699999999999999% 2020-02-04 Japan
Nomura Asset Management Singapore Limited IR Japan Holdings,Ltd. 0.79% 2020-02-12 Japan
Nomura Asset Management Singapore Limited IR Japan Holdings,Ltd. 0.69% 2020-04-27 Japan
Nomura Asset Management Singapore Limited IR Japan Holdings,Ltd. 0.7000000000000001% 2020-05-08 Japan
Nomura Asset Management Singapore Limited IR Japan Holdings,Ltd. 0.7100000000000001% 2019-09-06 Japan
Nomura Asset Management Singapore Limited IRISO ELECTRONICS CO.,LTD. 0.6% 2019-06-19 Japan
Nomura Asset Management Singapore Limited IRISO ELECTRONICS CO.,LTD. 0.48% 2018-11-30 Japan
Nomura Asset Management Singapore Limited IRISO ELECTRONICS CO.,LTD. 0.51% 2019-05-24 Japan
Nomura Asset Management Singapore Limited IRISO ELECTRONICS CO.,LTD. 0.7000000000000001% 2019-10-24 Japan
Nomura Asset Management Singapore Limited IRISO ELECTRONICS CO.,LTD. 0.7000000000000001% 2020-10-26 Japan
Nomura Asset Management Singapore Limited IRISO ELECTRONICS CO.,LTD. 0.69% 2019-12-09 Japan
Nomura Asset Management Singapore Limited IRISO ELECTRONICS CO.,LTD. 0.49% 2020-01-29 Japan
Nomura Asset Management Singapore Limited IRISO ELECTRONICS CO.,LTD. 0.6% 2020-10-19 Japan
Nomura Asset Management Singapore Limited IRISO ELECTRONICS CO.,LTD. 0.5% 2020-09-08 Japan
Nomura Asset Management Singapore Limited IRISO ELECTRONICS CO.,LTD. 0.52% 2018-11-02 Japan
Nomura Asset Management Singapore Limited ISEKI & CO.,LTD. 0.59% 2016-10-12 Japan
Nomura Asset Management Singapore Limited ISEKI & CO.,LTD. 0.47000000000000003% 2016-11-28 Japan
Nomura Asset Management Singapore Limited ISEKI & CO.,LTD. 0.6% 2016-09-20 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 3.7900000000000005% 2016-03-07 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 2.6100000000000003% 2017-03-29 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 3.2800000000000002% 2016-04-18 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 0.79% 2017-02-28 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 3.17% 2017-05-23 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.32% 2017-05-23 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.81% 2017-10-24 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.16% 2017-10-24 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 2.19% 2016-05-27 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 3.1% 2016-04-19 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 2.19% 2017-08-21 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.3299999999999998% 2017-11-29 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.02% 2017-03-10 Japan
Nomura Asset Management Singapore LTD ITbook Co.,LTD. 3.2% 2015-07-03 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 0.89% 2018-04-10 Japan
Nomura Asset Management Singapore LTD ITbook Co.,LTD. 2.86% 2015-06-30 Japan
Nomura Asset Management Singapore LTD ITbook Co.,LTD. 3.4799999999999995% 2015-07-14 Japan
Nomura Asset Management Singapore LTD ITbook Co.,LTD. 0.61% 2015-07-15 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 2.32% 2017-04-21 Japan
Nomura Asset Management Singapore LTD ITbook Co.,LTD. 3.51% 2015-07-15 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 3.37% 2016-04-15 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 0.6799999999999999% 2018-05-02 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 0.5499999999999999% 2018-05-02 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 3.8% 2016-02-15 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.09% 2016-12-27 Japan
Nomura Asset Management Singapore LTD ITbook Co.,LTD. 2.93% 2015-07-01 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.72% 2017-10-23 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 3.7900000000000005% 2015-08-14 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 3.0700000000000003% 2016-04-20 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 2.31% 2016-05-20 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.96% 2017-08-25 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 2.9000000000000004% 2017-07-04 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 2.3800000000000003% 2017-08-15 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.11% 2017-12-06 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.39% 2016-08-19 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 3.26% 2017-05-24 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 0.91% 2017-03-06 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.31% 2017-03-06 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.69% 2017-09-29 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 2.58% 2017-08-01 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.79% 2017-09-12 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 2.67% 2017-07-31 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.79% 2017-11-10 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.08% 2017-08-18 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 0.69% 2018-04-13 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 3.85% 2015-08-17 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.09% 2017-11-14 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 2.4% 2017-04-19 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 2.7199999999999998% 2017-07-28 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.26% 2017-08-10 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 2.42% 2017-08-14 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.1900000000000002% 2017-08-14 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 0.79% 2017-12-18 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.0999999999999999% 2017-03-13 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.6500000000000001% 2017-03-13 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.58% 2016-06-28 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 2.27% 2017-03-21 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.16% 2017-01-05 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.48% 2016-07-27 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 0.77% 2015-08-18 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.08% 2017-12-08 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 0.48% 2018-08-28 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 0.97% 2017-12-08 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 2.42% 2017-03-22 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 0.89% 2016-09-23 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 0.8099999999999999% 2017-01-06 Japan
Nomura Asset Management Singapore LTD ITbook Co.,LTD. 0.52% 2015-07-10 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 2.87% 2016-04-26 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.17% 2017-02-27 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.28% 2016-10-12 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.78% 2016-06-14 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.25% 2017-01-10 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 2.87% 2017-05-19 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 0.79% 2018-04-16 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.4500000000000002% 2017-11-28 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 2.58% 2017-03-28 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 0.86% 2015-08-19 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 0.77% 2016-11-29 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.1900000000000002% 2016-11-29 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.59% 2017-11-27 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 2.63% 2016-05-18 Japan
Nomura Asset Management Singapore LTD ITbook Co.,LTD. 3.36% 2015-07-13 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 1.87% 2017-08-28 Japan
Nomura Asset Management Singapore Limited ITbook Co.,LTD. 2.15% 2017-03-17 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 0.7000000000000001% 2020-10-21 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 1.8800000000000001% 2020-10-07 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 3.17% 2020-11-27 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 2.32% 2020-10-14 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 2.58% 2020-10-19 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 0.53% 2020-10-19 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 1.6500000000000001% 2020-09-16 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 0.9900000000000001% 2020-07-30 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 0.7100000000000001% 2020-07-01 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 3.02% 2020-11-04 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 1.37% 2020-09-08 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 2.9000000000000004% 2020-11-17 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 1.08% 2020-08-05 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 0.8% 2020-10-28 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 2.01% 2020-10-08 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 2.48% 2020-10-15 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 0.98% 2020-09-01 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 1.16% 2020-09-02 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 2.92% 2020-10-29 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 3.19% 2020-11-11 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 1.41% 2020-09-09 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 1.77% 2020-10-05 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 2.25% 2020-10-12 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 3.01% 2020-11-25 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 2.18% 2020-10-09 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 1.15% 2020-07-29 Japan
Nomura Asset Management Singapore Limited ITbook Holdings Co.,LTD. 0.8200000000000001% 2020-08-27 Japan
Nomura Asset Management Singapore Limited JAPAN CASH MACHINE CO.,LTD. 0.59% 2015-08-11 Japan
Nomura Asset Management Singapore Limited JAPAN CASH MACHINE CO.,LTD. 0.47000000000000003% 2016-01-22 Japan
Nomura Asset Management Singapore Limited JAPAN CASH MACHINE CO.,LTD. 0.6799999999999999% 2017-05-02 Japan
Nomura Asset Management Singapore Limited JAPAN CASH MACHINE CO.,LTD. 0.59% 2017-06-06 Japan
Nomura Asset Management Singapore Limited JAPAN CASH MACHINE CO.,LTD. 0.7799999999999999% 2017-04-07 Japan
Nomura Asset Management Singapore Limited JAPAN CASH MACHINE CO.,LTD. 0.7100000000000001% 2016-09-14 Japan
Nomura Asset Management Singapore Limited JAPAN CASH MACHINE CO.,LTD. 0.49% 2017-07-05 Japan
Nomura Asset Management Singapore Limited JAPAN CASH MACHINE CO.,LTD. 0.54% 2016-08-15 Japan
Nomura Asset Management Singapore Limited JAPAN ELEVATOR SERVICE HOLDINGS CO.,LTD. 0.89% 2019-04-09 Japan
Nomura Asset Management Singapore Limited JAPAN ELEVATOR SERVICE HOLDINGS CO.,LTD. 0.89% 2019-08-16 Japan
Nomura Asset Management Singapore Limited JAPAN ELEVATOR SERVICE HOLDINGS CO.,LTD. 0.69% 2019-12-09 Japan
Nomura Asset Management Singapore Limited JAPAN ELEVATOR SERVICE HOLDINGS CO.,LTD. 0.77% 2019-10-04 Japan
Nomura Asset Management Singapore Limited JAPAN ELEVATOR SERVICE HOLDINGS CO.,LTD. 0.72% 2018-12-18 Japan
Nomura Asset Management Singapore Limited JAPAN ELEVATOR SERVICE HOLDINGS CO.,LTD. 0.69% 2018-12-17 Japan
Nomura Asset Management Singapore Limited JAPAN ELEVATOR SERVICE HOLDINGS CO.,LTD. 0.73% 2018-12-05 Japan
Nomura Asset Management Singapore Limited JAPAN ELEVATOR SERVICE HOLDINGS CO.,LTD. 0.5% 2018-11-16 Japan
Nomura Asset Management Singapore Limited JAPAN SYSTEMS CO.,LTD. 0.59% 2017-04-21 Japan
Nomura Asset Management Singapore Limited JAPAN SYSTEMS CO.,LTD. 0.62% 2017-03-06 Japan
Nomura Asset Management Singapore LTD JAPAN SYSTEMS CO.,LTD. 1.02% 2015-07-28 Japan
Nomura Asset Management Singapore LTD JAPAN SYSTEMS CO.,LTD. 0.64% 2015-07-15 Japan
Nomura Asset Management Singapore LTD JAPAN SYSTEMS CO.,LTD. 0.95% 2015-07-23 Japan
Nomura Asset Management Singapore LTD JAPAN SYSTEMS CO.,LTD. 0.8699999999999999% 2015-07-21 Japan
Nomura Asset Management Singapore LTD JAPAN SYSTEMS CO.,LTD. 0.77% 2015-07-16 Japan
Nomura Asset Management Singapore Limited JAPAN SYSTEMS CO.,LTD. 0.77% 2016-07-12 Japan
Nomura Asset Management Singapore Limited JAPAN SYSTEMS CO.,LTD. 0.8699999999999999% 2016-02-12 Japan
Nomura Asset Management Singapore LTD JAPAN SYSTEMS CO.,LTD. 0.5% 2015-07-14 Japan
Nomura Asset Management Singapore Limited JAPAN SYSTEMS CO.,LTD. 0.49% 2017-08-15 Japan
Nomura Asset Management Singapore Limited JAPAN SYSTEMS CO.,LTD. 1.08% 2015-09-04 Japan
Nomura Asset Management Singapore Limited JAPAN SYSTEMS CO.,LTD. 0.69% 2016-08-19 Japan
Nomura Asset Management Singapore Limited JAPAN SYSTEMS CO.,LTD. 0.98% 2015-11-25 Japan
Nomura Asset Management Singapore Limited JIN CO.,LTD. 1.08% 2016-03-23 Japan
Nomura Asset Management Singapore Limited JIN CO.,LTD. 1.09% 2015-10-08 Japan
Nomura Asset Management Singapore Limited JIN CO.,LTD. 1.11% 2015-12-09 Japan
Nomura Asset Management Singapore Limited JIN CO.,LTD. 1.09% 2015-08-17 Japan
Nomura Asset Management Singapore Limited JIN CO.,LTD. 0.77% 2016-06-27 Japan
Nomura Asset Management Singapore Limited JIN CO.,LTD. 0.8699999999999999% 2016-04-25 Japan
Nomura Asset Management Singapore Limited JIN CO.,LTD. 1.0999999999999999% 2015-10-14 Japan
Nomura Asset Management Singapore Limited JIN CO.,LTD. 0.98% 2016-04-08 Japan
Nomura Asset Management Singapore Limited JIN CO.,LTD. 1.09% 2015-10-21 Japan
Nomura Asset Management Singapore Limited JIN CO.,LTD. 0.69% 2017-02-28 Japan
Nomura Asset Management Singapore Limited JIN CO.,LTD. 0.8099999999999999% 2016-07-20 Japan
Nomura Asset Management Singapore LTD JIN CO.,LTD. 1.0999999999999999% 2015-07-31 Japan
Nomura Asset Management Singapore Limited JINS Inc. 0.7000000000000001% 2017-04-10 Japan
Nomura Asset Management Singapore Limited JINS Inc. 0.69% 2017-06-27 Japan
Nomura Asset Management Singapore Limited JVC KENWOOD Corporation 1.22% 2016-11-01 Japan
Nomura Asset Management Singapore Limited JVC KENWOOD Corporation 0.83% 2016-05-18 Japan
Nomura Asset Management Singapore Limited JVC KENWOOD Corporation 0.59% 2016-12-16 Japan
Nomura Asset Management Singapore Limited JVC KENWOOD Corporation 0.91% 2016-05-25 Japan
Nomura Asset Management Singapore Limited JVC KENWOOD Corporation 0.72% 2017-04-07 Japan
Nomura Asset Management Singapore Limited JVC KENWOOD Corporation 0.48% 2017-03-17 Japan
Nomura Asset Management Singapore Limited JVC KENWOOD Corporation 1.11% 2016-07-14 Japan
Nomura Asset Management Singapore Limited JVC KENWOOD Corporation 1.0999999999999999% 2016-10-24 Japan
Nomura Asset Management Singapore Limited JVC KENWOOD Corporation 1.09% 2016-08-19 Japan
Nomura Asset Management Singapore Limited JVC KENWOOD Corporation 1.09% 2017-03-28 Japan
Nomura Asset Management Singapore Limited JVC KENWOOD Corporation 0.48% 2017-08-22 Japan
Nomura Asset Management Singapore Limited JVC KENWOOD Corporation 1.31% 2016-11-18 Japan
Nomura Asset Management Singapore Limited JVC KENWOOD Corporation 1.47% 2016-12-02 Japan
Nomura Asset Management Singapore Limited JVC KENWOOD Corporation 0.63% 2017-04-10 Japan
Nomura Asset Management Singapore Limited JVC KENWOOD Corporation 1.29% 2017-02-24 Japan
Nomura Asset Management Singapore Limited JVC KENWOOD Corporation 1.08% 2016-06-08 Japan
Nomura Asset Management Singapore Limited JVC KENWOOD Corporation 0.59% 2017-05-16 Japan
Nomura Asset Management Singapore Limited Kakiyasu Honten Co.,Ltd. 0.64% 2019-12-27 Japan
Nomura Asset Management Singapore Limited Kakiyasu Honten Co.,Ltd. 0.49% 2020-08-04 Japan
Nomura Asset Management Singapore Limited Kakiyasu Honten Co.,Ltd. 0.52% 2019-12-13 Japan
Nomura Asset Management Singapore Limited Kakiyasu Honten Co.,Ltd. 0.69% 2020-04-24 Japan
Nomura Asset Management Singapore Limited Kakiyasu Honten Co.,Ltd. 0.59% 2020-06-04 Japan
Nomura Asset Management Singapore Limited KIKUCHI SEISAKUSHO CO.,LTD. 1.67% 2017-03-10 Japan
Nomura Asset Management Singapore Limited KIKUCHI SEISAKUSHO CO.,LTD. 1.94% 2016-07-01 Japan
Nomura Asset Management Singapore Limited KIKUCHI SEISAKUSHO CO.,LTD. 0.9900000000000001% 2017-12-06 Japan
Nomura Asset Management Singapore Limited KIKUCHI SEISAKUSHO CO.,LTD. 1.5% 2015-11-11 Japan
Nomura Asset Management Singapore Limited KIKUCHI SEISAKUSHO CO.,LTD. 1.83% 2015-12-02 Japan
Nomura Asset Management Singapore Limited KIKUCHI SEISAKUSHO CO.,LTD. 1.96% 2015-12-16 Japan
Nomura Asset Management Singapore Limited KIKUCHI SEISAKUSHO CO.,LTD. 2.09% 2016-03-16 Japan
Nomura Asset Management Singapore Limited KIKUCHI SEISAKUSHO CO.,LTD. 1.79% 2016-12-29 Japan
Nomura Asset Management Singapore Limited KIKUCHI SEISAKUSHO CO.,LTD. 1.47% 2015-08-25 Japan
Nomura Asset Management Singapore Limited KIKUCHI SEISAKUSHO CO.,LTD. 1.18% 2017-10-06 Japan
Nomura Asset Management Singapore Limited KIKUCHI SEISAKUSHO CO.,LTD. 0.86% 2017-12-18 Japan
Nomura Asset Management Singapore Limited KIKUCHI SEISAKUSHO CO.,LTD. 1.48% 2015-08-17 Japan
Nomura Asset Management Singapore Limited KIKUCHI SEISAKUSHO CO.,LTD. 2.12% 2016-01-18 Japan
Nomura Asset Management Singapore Limited KIKUCHI SEISAKUSHO CO.,LTD. 1.29% 2017-09-05 Japan
Nomura Asset Management Singapore Limited KIKUCHI SEISAKUSHO CO.,LTD. 1.58% 2017-04-28 Japan
Nomura Asset Management Singapore Limited KIKUCHI SEISAKUSHO CO.,LTD. 0.5700000000000001% 2018-01-22 Japan
Nomura Asset Management Singapore Limited KIKUCHI SEISAKUSHO CO.,LTD. 1.39% 2017-06-23 Japan
Nomura Asset Management Singapore Limited KIKUCHI SEISAKUSHO CO.,LTD. 1.52% 2015-08-19 Japan
Nomura Asset Management Singapore Limited KIKUCHI SEISAKUSHO CO.,LTD. 0.49% 2018-01-23 Japan
Nomura Asset Management Singapore Limited KIKUCHI SEISAKUSHO CO.,LTD. 1.6% 2015-11-30 Japan
Nomura Asset Management Singapore Limited KIKUCHI SEISAKUSHO CO.,LTD. 2.01% 2016-01-05 Japan
Nomura Asset Management Singapore Limited KIKUCHI SEISAKUSHO CO.,LTD. 1.48% 2017-05-23 Japan
Nomura Asset Management Singapore Limited KIKUCHI SEISAKUSHO CO.,LTD. 1.72% 2015-12-01 Japan
Nomura Asset Management Singapore Limited KIKUCHI SEISAKUSHO CO.,LTD. 0.7799999999999999% 2018-01-15 Japan
Nomura Asset Management Singapore Limited Kitanotatsujin Corporation 0.76% 2018-01-17 Japan
Nomura Asset Management Singapore Limited Kitanotatsujin Corporation 1.3% 2018-02-21 Japan
Nomura Asset Management Singapore Limited Kitanotatsujin Corporation 0.6799999999999999% 2018-01-16 Japan
Nomura Asset Management Singapore Limited Kitanotatsujin Corporation 1.2% 2018-02-05 Japan
Nomura Asset Management Singapore Limited Kitanotatsujin Corporation 0.58% 2018-12-11 Japan
Nomura Asset Management Singapore Limited Kitanotatsujin Corporation 0.48% 2018-12-18 Japan
Nomura Asset Management Singapore Limited Kitanotatsujin Corporation 0.49% 2019-04-26 Japan
Nomura Asset Management Singapore Limited Kitanotatsujin Corporation 0.58% 2018-09-19 Japan
Nomura Asset Management Singapore Limited Kitanotatsujin Corporation 1.09% 2018-08-11 Japan
Nomura Asset Management Singapore Limited Kitanotatsujin Corporation 0.6% 2018-10-23 Japan
Nomura Asset Management Singapore Limited Kitanotatsujin Corporation 1.11% 2018-01-31 Japan
Nomura Asset Management Singapore Limited Kitanotatsujin Corporation 0.95% 2018-01-23 Japan
Nomura Asset Management Singapore Limited Kitanotatsujin Corporation 0.5700000000000001% 2018-01-15 Japan
Nomura Asset Management Singapore Limited Kitanotatsujin Corporation 0.49% 2020-01-28 Japan
Nomura Asset Management Singapore Limited Kitanotatsujin Corporation 0.51% 2020-02-20 Japan
Nomura Asset Management Singapore Limited Kitanotatsujin Corporation 0.5% 2018-02-02 Japan
Nomura Asset Management Singapore Limited Kitanotatsujin Corporation 0.86% 2018-08-21 Japan
Nomura Asset Management Singapore Limited Kitanotatsujin Corporation 1.29% 2018-04-20 Japan
Nomura Asset Management Singapore Limited Kitanotatsujin Corporation 0.49% 2018-05-02 Japan
Nomura Asset Management Singapore Limited KLab Inc. 0.59% 2017-09-20 Japan
Nomura Asset Management Singapore Limited KLab Inc. 0.48% 2017-10-10 Japan
Nomura Asset Management Singapore Limited KLab Inc. 0.62% 2017-08-08 Japan
Nomura Asset Management Singapore Limited KUSHIKATSU TANAKA CO. 0.43% 2018-02-09 Japan
Nomura Asset Management Singapore Limited LEC,INC. 0.8999999999999999% 2017-05-16 Japan
Nomura Asset Management Singapore Limited LEC,INC. 1.09% 2017-11-17 Japan
Nomura Asset Management Singapore Limited LEC,INC. 1.29% 2017-09-29 Japan
Nomura Asset Management Singapore Limited LEC,INC. 1.01% 2017-05-22 Japan
Nomura Asset Management Singapore Limited LEC,INC. 1.32% 2017-07-04 Japan
Nomura Asset Management Singapore Limited LEC,INC. 0.53% 2017-05-09 Japan
Nomura Asset Management Singapore Limited LEC,INC. 0.79% 2018-03-26 Japan
Nomura Asset Management Singapore Limited LEC,INC. 0.8099999999999999% 2017-05-15 Japan
Nomura Asset Management Singapore Limited LEC,INC. 1.22% 2017-06-13 Japan
Nomura Asset Management Singapore Limited LEC,INC. 0.69% 2018-06-27 Japan
Nomura Asset Management Singapore Limited LEC,INC. 0.97% 2017-12-01 Japan
Nomura Asset Management Singapore Limited LEC,INC. 1.35% 2017-10-11 Japan
Nomura Asset Management Singapore Limited LEC,INC. 1.38% 2017-09-12 Japan
Nomura Asset Management Singapore Limited LEC,INC. 0.88% 2017-12-13 Japan
Nomura Asset Management Singapore Limited LEC,INC. 0.8099999999999999% 2018-03-27 Japan
Nomura Asset Management Singapore Limited LEC,INC. 0.79% 2017-05-12 Japan
Nomura Asset Management Singapore Limited LEC,INC. 0.75% 2018-06-01 Japan
Nomura Asset Management Singapore Limited LEC,INC. 0.49% 2018-12-05 Japan
Nomura Asset Management Singapore Limited LEC,INC. 1.1900000000000002% 2017-11-06 Japan
Nomura Asset Management Singapore Limited LEC,INC. 1.28% 2017-10-25 Japan
Nomura Asset Management Singapore Limited Lib Work Co.,Ltd. 1.0699999999999998% 2020-01-24 Japan
Nomura Asset Management Singapore Limited Lib Work Co.,Ltd. 1.21% 2020-02-03 Japan
Nomura Asset Management Singapore Limited Lib Work Co.,Ltd. 0.4% 2020-10-08 Japan
Nomura Asset Management Singapore Limited Lib Work Co.,Ltd. 0.65% 2020-01-21 Japan
Nomura Asset Management Singapore Limited Lib Work Co.,Ltd. 0.8699999999999999% 2020-01-22 Japan
Nomura Asset Management Singapore Limited Lib Work Co.,Ltd. 0.6799999999999999% 2020-09-10 Japan
Nomura Asset Management Singapore Limited Lib Work Co.,Ltd. 1.18% 2020-02-19 Japan
Nomura Asset Management Singapore Limited Lib Work Co.,Ltd. 0.59% 2020-09-11 Japan
Nomura Asset Management Singapore Limited Link and Motivation Inc. 0.7000000000000001% 2017-02-24 Japan
Nomura Asset Management Singapore Limited Link and Motivation Inc. 0.61% 2017-02-22 Japan
Nomura Asset Management Singapore Limited Link and Motivation Inc. 0.49% 2017-09-05 Japan
Nomura Asset Management Singapore Limited Link and Motivation Inc. 0.5700000000000001% 2017-02-17 Japan
Nomura Asset Management Singapore Limited Link and Motivation Inc. 0.8999999999999999% 2017-03-29 Japan
Nomura Asset Management Singapore Limited Link and Motivation Inc. 0.79% 2017-07-13 Japan
Nomura Asset Management Singapore Limited Link and Motivation Inc. 0.8699999999999999% 2017-05-17 Japan
Nomura Asset Management Singapore Limited Link and Motivation Inc. 0.69% 2017-07-21 Japan
Nomura Asset Management Singapore Limited Link and Motivation Inc. 0.59% 2017-08-01 Japan
Nomura Asset Management Singapore Limited MEC COMPANY LTD. 0.98% 2020-09-16 Japan
Nomura Asset Management Singapore Limited MEC COMPANY LTD. 0.66% 2020-11-10 Japan
Nomura Asset Management Singapore Limited MEC COMPANY LTD. 1.13% 2020-08-12 Japan
Nomura Asset Management Singapore Limited MEC COMPANY LTD. 0.48% 2020-08-12 Japan
Nomura Asset Management Singapore Limited MEC COMPANY LTD. 0.79% 2020-09-30 Japan
Nomura Asset Management Singapore Limited MEC COMPANY LTD. 1.09% 2020-09-08 Japan
Nomura Asset Management Singapore Limited MEC COMPANY LTD. 0.48% 2020-09-08 Japan
Nomura Asset Management Singapore Limited MEC COMPANY LTD. 1.1199999999999999% 2020-07-20 Japan
Nomura Asset Management Singapore Limited MEC COMPANY LTD. 1.13% 2020-09-04 Japan
Nomura Asset Management Singapore Limited MEC COMPANY LTD. 0.51% 2020-06-03 Japan
Nomura Asset Management Singapore Limited MEC COMPANY LTD. 0.5% 2020-08-13 Japan
Nomura Asset Management Singapore Limited MEC COMPANY LTD. 0.88% 2020-09-25 Japan
Nomura Asset Management Singapore Limited MEC COMPANY LTD. 1.2% 2020-08-07 Japan
Nomura Asset Management Singapore Limited MEC COMPANY LTD. 0.5% 2020-08-07 Japan
Nomura Asset Management Singapore Limited MEC COMPANY LTD. 0.5% 2020-08-21 Japan
Nomura Asset Management Singapore Limited MEC COMPANY LTD. 0.64% 2020-06-15 Japan
Nomura Asset Management Singapore Limited MEC COMPANY LTD. 0.48% 2020-08-18 Japan
Nomura Asset Management Singapore Limited MEC COMPANY LTD. 1.01% 2020-07-15 Japan
Nomura Asset Management Singapore Limited MEDIASEEK,inc. 0.22999999999999998% 2018-06-12 Japan
Nomura Asset Management Singapore Limited MEDIASEEK,inc. 0.9900000000000001% 2018-06-04 Japan
Nomura Asset Management Singapore Limited MEDIASEEK,inc. 0.8200000000000001% 2018-06-01 Japan
Nomura Asset Management Singapore Limited MEDIASEEK,inc. 0.5% 2018-06-11 Japan
Nomura Asset Management Singapore Limited MITANI SANGYO CO.,LTD. 0.59% 2016-10-07 Japan
Nomura Asset Management Singapore Limited MITANI SANGYO CO.,LTD. 0.69% 2016-08-26 Japan
Nomura Asset Management Singapore Limited MITANI SANGYO CO.,LTD. 0.79% 2016-06-14 Japan
Nomura Asset Management Singapore Limited MITANI SANGYO CO.,LTD. 0.9900000000000001% 2016-01-22 Japan
Nomura Asset Management Singapore Limited MITANI SANGYO CO.,LTD. 0.49% 2016-11-29 Japan
Nomura Asset Management Singapore Limited MITANI SANGYO CO.,LTD. 1.29% 2015-08-25 Japan
Nomura Asset Management Singapore Limited MITANI SANGYO CO.,LTD. 1.1900000000000002% 2015-11-30 Japan
Nomura Asset Management Singapore Limited MITANI SANGYO CO.,LTD. 1.29% 2015-08-12 Japan
Nomura Asset Management Singapore Limited MITANI SANGYO CO.,LTD. 1.08% 2015-12-15 Japan
Nomura Asset Management Singapore Limited MITANI SANGYO CO.,LTD. 0.89% 2016-04-19 Japan
Nomura Asset Management Singapore LTD Mitsubishi Kakoki Kaisha,Ltd. 1.0699999999999998% 2015-07-16 Japan
Nomura Asset Management Singapore Limited Mitsubishi Kakoki Kaisha,Ltd. 0.49% 2015-11-12 Japan
Nomura Asset Management Singapore Limited Mitsubishi Kakoki Kaisha,Ltd. 0.67% 2015-10-05 Japan
Nomura Asset Management Singapore Limited Mitsubishi Kakoki Kaisha,Ltd. 0.9299999999999999% 2015-08-05 Japan
Nomura Asset Management Singapore Limited Mitsubishi Kakoki Kaisha,Ltd. 0.59% 2015-10-19 Japan
Nomura Asset Management Singapore Limited Mitsubishi Kakoki Kaisha,Ltd. 0.7799999999999999% 2015-08-21 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 1.02% 2018-02-27 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 1.17% 2018-02-28 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 0.88% 2018-12-11 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 1.27% 2018-11-13 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 1.18% 2018-11-22 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 0.59% 2018-11-22 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 0.49% 2018-12-21 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 1.41% 2018-03-20 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 1.27% 2018-05-11 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 0.77% 2018-12-17 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 0.69% 2018-12-19 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 1.37% 2018-04-16 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 1.1900000000000002% 2018-05-14 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 1.37% 2018-11-02 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 0.49% 2018-12-05 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 0.8200000000000001% 2018-02-23 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 1.09% 2018-12-04 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 1.55% 2018-07-30 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 0.61% 2018-07-30 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 1.29% 2018-07-25 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 0.51% 2018-07-25 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 1.53% 2018-10-24 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 1.3% 2018-03-12 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 1.35% 2018-07-27 Japan
Nomura Asset Management Singapore Limited MOLITEC STEEL CO.,LTD. 0.9299999999999999% 2018-02-26 Japan
Nomura Asset Management Singapore Limited MT GENEX CORPORATION 0.7100000000000001% 2018-08-27 Japan
Nomura Asset Management Singapore Limited MT GENEX CORPORATION 0.61% 2018-08-21 Japan
Nomura Asset Management Singapore Limited MT GENEX CORPORATION 1.25% 2018-09-05 Japan
Nomura Asset Management Singapore Limited MT GENEX CORPORATION 1.3599999999999999% 2018-09-25 Japan
Nomura Asset Management Singapore Limited MT GENEX CORPORATION 0.88% 2018-10-26 Japan
Nomura Asset Management Singapore Limited MT GENEX CORPORATION 0.7799999999999999% 2019-02-01 Japan
Nomura Asset Management Singapore Limited MT GENEX CORPORATION 0.9199999999999999% 2018-08-29 Japan
Nomura Asset Management Singapore Limited MT GENEX CORPORATION 1.0699999999999998% 2018-10-01 Japan
Nomura Asset Management Singapore Limited MT GENEX CORPORATION 0.62% 2019-02-08 Japan
Nomura Asset Management Singapore Limited MT GENEX CORPORATION 0.41000000000000003% 2019-02-15 Japan
Nomura Asset Management Singapore Limited MT GENEX CORPORATION 1.13% 2018-08-31 Japan
Nomura Asset Management Singapore Limited New Japan Chemical Co.,Ltd. 0.59% 2016-12-12 Japan
Nomura Asset Management Singapore Limited New Japan Chemical Co.,Ltd. 0.69% 2015-08-21 Japan
Nomura Asset Management Singapore Limited New Japan Chemical Co.,Ltd. 1.11% 2015-08-21 Japan
Nomura Asset Management Singapore Limited New Japan Chemical Co.,Ltd. 0.43% 2016-12-29 Japan
Nomura Asset Management Singapore Limited New Japan Chemical Co.,Ltd. 1.02% 2015-08-25 Japan
Nomura Asset Management Singapore LTD New Japan Chemical Co.,Ltd. 1.24% 2015-07-27 Japan
Nomura Asset Management Singapore Limited New Japan Chemical Co.,Ltd. 0.58% 2015-11-17 Japan
Nomura Asset Management Singapore LTD New Japan Chemical Co.,Ltd. 1.1900000000000002% 2015-07-23 Japan
Nomura Asset Management Singapore Limited New Japan Chemical Co.,Ltd. 0.88% 2015-11-19 Japan
Nomura Asset Management Singapore Limited NISSEI ASB MACHINE CO.,LTD. 0.49% 2018-10-29 Japan
Nomura Asset Management Singapore Limited NOMURA Co.,Ltd. 0.49% 2017-10-24 Japan
Nomura Asset Management Singapore Limited NOMURA Co.,Ltd. 0.5% 2017-03-24 Japan
Nomura Asset Management Singapore Limited NOMURA Co.,Ltd. 0.6% 2017-07-03 Japan
Nomura Asset Management Singapore Limited NOMURA Co.,Ltd. 0.49% 2017-08-18 Japan
Nomura Asset Management Singapore Limited NOMURA Co.,Ltd. 0.49% 2019-07-10 Japan
Nomura Asset Management Singapore Limited NOMURA Co.,Ltd. 0.51% 2017-12-13 Japan
Nomura Asset Management Singapore Limited Nousouken Corporation 0.62% 2020-11-25 Japan
Nomura Asset Management Singapore Limited Nousouken Corporation 1.13% 2020-10-27 Japan
Nomura Asset Management Singapore Limited Nousouken Corporation 1.09% 2020-11-06 Japan
Nomura Asset Management Singapore Limited Nousouken Corporation 0.75% 2020-11-17 Japan
Nomura Asset Management Singapore Limited Nousouken Corporation 0.8099999999999999% 2020-10-23 Japan
Nomura Asset Management Singapore Limited Nousouken Corporation 0.95% 2020-11-13 Japan
Nomura Asset Management Singapore Limited Nuts Inc. 0.51% 2017-12-29 Japan
Nomura Asset Management Singapore Limited Nuts Inc. 0.6% 2019-03-05 Japan
Nomura Asset Management Singapore Limited Nuts Inc. 0.58% 2018-01-26 Japan
Nomura Asset Management Singapore Limited Nuts Inc. 0.38999999999999996% 2019-03-15 Japan
Nomura Asset Management Singapore Limited Nuts Inc. 0.45999999999999996% 2017-09-05 Japan
Nomura Asset Management Singapore Limited Nuts Inc. 0.5700000000000001% 2019-03-01 Japan
Nomura Asset Management Singapore Limited Nuts Inc. 0.65% 2018-01-09 Japan
Nomura Asset Management Singapore Limited Nuts Inc. 0.48% 2018-01-30 Japan
Nomura Asset Management Singapore Limited Nuts Inc. 0.5% 2017-12-27 Japan
Nomura Asset Management Singapore Limited Nuts Inc. 0.52% 2017-08-30 Japan
Nomura Asset Management Singapore Limited PIXELA CORPORATION 0.59% 2017-10-20 Japan
Nomura Asset Management Singapore Limited PIXELA CORPORATION 0.49% 2017-10-20 Japan
Nomura Asset Management Singapore Limited PIXELA CORPORATION 0.51% 2017-08-25 Japan
Nomura Asset Management Singapore Limited RAKSUL INC. 0.49% 2020-11-27 Japan
Nomura Asset Management Singapore Limited RAKSUL INC. 0.5% 2019-03-19 Japan
Nomura Asset Management Singapore Limited RAKSUL INC. 0.8% 2020-08-04 Japan
Nomura Asset Management Singapore Limited RAKSUL INC. 0.58% 2019-09-13 Japan
Nomura Asset Management Singapore Limited RAKSUL INC. 0.89% 2020-05-19 Japan
Nomura Asset Management Singapore Limited RAKSUL INC. 0.6799999999999999% 2020-10-28 Japan
Nomura Asset Management Singapore Limited RAKSUL INC. 0.8% 2020-09-09 Japan
Nomura Asset Management Singapore Limited RAKSUL INC. 0.58% 2019-10-18 Japan
Nomura Asset Management Singapore Limited RAKSUL INC. 0.8999999999999999% 2020-05-08 Japan
Nomura Asset Management Singapore Limited RAKSUL INC. 0.79% 2020-08-21 Japan
Nomura Asset Management Singapore Limited RAKSUL INC. 0.49% 2019-03-29 Japan
Nomura Asset Management Singapore Limited RAKSUL INC. 0.6% 2019-09-04 Japan
Nomura Asset Management Singapore Limited RAKSUL INC. 0.79% 2020-10-05 Japan
Nomura Asset Management Singapore Limited RAKSUL INC. 0.6% 2019-10-24 Japan
Nomura Asset Management Singapore Limited RAKSUL INC. 0.8999999999999999% 2020-06-17 Japan
Nomura Asset Management Singapore Limited RAKSUL INC. 0.51% 2019-05-24 Japan
Nomura Asset Management Singapore Limited RAKSUL INC. 0.59% 2019-11-06 Japan
Nomura Asset Management Singapore Limited RAKSUL INC. 0.5700000000000001% 2019-07-10 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 1.09% 2020-10-05 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 0.6% 2018-12-26 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 1.5699999999999998% 2020-10-12 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 0.63% 2018-07-04 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 0.5499999999999999% 2018-04-11 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 0.8999999999999999% 2020-08-03 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 0.7100000000000001% 2018-03-14 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 0.7000000000000001% 2018-03-27 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 2.0500000000000003% 2020-11-10 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 0.79% 2020-07-21 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 0.52% 2019-02-13 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 0.74% 2018-09-21 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 0.77% 2020-07-17 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 0.59% 2018-06-19 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 0.5% 2020-07-01 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 0.67% 2018-03-20 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 0.48% 2018-04-02 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 0.7100000000000001% 2020-06-30 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 0.69% 2020-07-20 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 1.41% 2020-10-08 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 0.8% 2018-07-12 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 1.72% 2020-10-15 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 0.75% 2018-05-15 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 0.67% 2018-05-08 Japan
Nomura Asset Management Singapore Limited RECOMM CO.,LTD. 0.54% 2018-03-09 Japan
Nomura Asset Management Singapore LTD RINGER HUT CO.,LTD. 1.0% 2015-07-08 Japan
Nomura Asset Management Singapore Limited RINGER HUT CO.,LTD. 0.8% 2016-07-27 Japan
Nomura Asset Management Singapore Limited RINGER HUT CO.,LTD. 0.9900000000000001% 2015-08-17 Japan
Nomura Asset Management Singapore Limited RINGER HUT CO.,LTD. 0.89% 2015-11-12 Japan
Nomura Asset Management Singapore Limited RINGER HUT CO.,LTD. 0.53% 2016-11-15 Japan
Nomura Asset Management Singapore Limited RINGER HUT CO.,LTD. 0.79% 2016-05-31 Japan
Nomura Asset Management Singapore Limited RINGER HUT CO.,LTD. 0.49% 2016-11-16 Japan
Nomura Asset Management Singapore Limited Ryosan Company,Limited 0.58% 2019-03-05 Japan
Nomura Asset Management Singapore Limited Ryosan Company,Limited 0.6% 2018-12-07 Japan
Nomura Asset Management Singapore Limited Ryosan Company,Limited 0.58% 2019-08-13 Japan
Nomura Asset Management Singapore Limited Ryosan Company,Limited 0.49% 2020-02-06 Japan
Nomura Asset Management Singapore Limited SAMURAI&J PARTNERS Co.,Ltd. 0.7100000000000001% 2018-06-27 Japan
Nomura Asset Management Singapore Limited SAMURAI&J PARTNERS Co.,Ltd. 1.06% 2018-06-26 Japan
Nomura Asset Management Singapore Limited SAMURAI&J PARTNERS Co.,Ltd. 0.53% 2018-06-12 Japan
Nomura Asset Management Singapore Limited SAMURAI&J PARTNERS Co.,Ltd. 0.76% 2018-06-18 Japan
Nomura Asset Management Singapore Limited SAMURAI&J PARTNERS Co.,Ltd. 0.88% 2018-06-20 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 0.98% 2017-11-14 Japan
Nomura Asset Management Singapore LTD SEIKO PMC CORPORATION 1.39% 2015-07-21 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 1.29% 2017-08-23 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 1.79% 2016-11-22 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 0.5% 2015-09-15 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 1.6099999999999999% 2015-09-15 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 1.49% 2017-06-30 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 1.8800000000000001% 2016-07-01 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 0.59% 2017-02-28 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 1.5599999999999998% 2017-05-17 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 0.61% 2016-01-05 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 1.9% 2016-01-05 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 0.6% 2017-03-10 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 1.63% 2017-04-05 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 1.5699999999999998% 2017-03-10 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 1.51% 2015-08-28 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 0.9400000000000001% 2018-02-19 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 0.69% 2018-07-30 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 0.45999999999999996% 2018-08-24 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 0.49% 2017-10-04 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 1.1900000000000002% 2017-10-06 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 0.79% 2018-07-10 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 1.43% 2015-08-21 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 1.69% 2016-12-29 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 0.9900000000000001% 2017-12-06 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 1.39% 2017-08-01 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 1.58% 2017-01-11 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 0.59% 2017-05-29 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 1.71% 2015-09-30 Japan
Nomura Asset Management Singapore Limited SEIKO PMC CORPORATION 0.89% 2018-06-18 Japan
Nomura Asset Management Singapore Limited SERAKU Co.,Ltd. 0.51% 2020-11-02 Japan
Nomura Asset Management Singapore Limited SHIMA SEIKI MFG.,LTD. 0.63% 2017-05-02 Japan
Nomura Asset Management Singapore Limited SHIMA SEIKI MFG.,LTD. 0.5% 2018-04-11 Japan
Nomura Asset Management Singapore Limited SHIMA SEIKI MFG.,LTD. 0.49% 2017-02-28 Japan
Nomura Asset Management Singapore Limited SHIMA SEIKI MFG.,LTD. 0.48% 2018-05-09 Japan
Nomura Asset Management Singapore Limited SHIMA SEIKI MFG.,LTD. 0.5% 2017-01-05 Japan
Nomura Asset Management Singapore Limited SHIMA SEIKI MFG.,LTD. 0.48% 2018-03-13 Japan
Nomura Asset Management Singapore Limited SHOEI CO.,LTD. 1.41% 2018-12-04 Japan
Nomura Asset Management Singapore Limited SHOEI CO.,LTD. 0.48% 2020-05-18 Japan
Nomura Asset Management Singapore Limited SHOEI CO.,LTD. 1.6% 2019-05-17 Japan
Nomura Asset Management Singapore Limited SHOEI CO.,LTD. 1.0999999999999999% 2018-07-25 Japan
Nomura Asset Management Singapore Limited SHOEI CO.,LTD. 1.39% 2020-01-15 Japan
Nomura Asset Management Singapore Limited SHOEI CO.,LTD. 1.51% 2019-01-30 Japan
Nomura Asset Management Singapore Limited SHOEI CO.,LTD. 1.08% 2020-06-15 Japan
Nomura Asset Management Singapore Limited SHOEI CO.,LTD. 0.8099999999999999% 2018-02-20 Japan
Nomura Asset Management Singapore Limited SHOEI CO.,LTD. 0.59% 2020-10-09 Japan
Nomura Asset Management Singapore Limited SHOEI CO.,LTD. 0.61% 2018-12-26 Japan
Nomura Asset Management Singapore Limited SHOEI CO.,LTD. 0.9199999999999999% 2018-04-26 Japan
Nomura Asset Management Singapore Limited SHOEI CO.,LTD. 0.62% 2017-12-22 Japan
Nomura Asset Management Singapore Limited SHOEI CO.,LTD. 0.5% 2018-08-06 Japan
Nomura Asset Management Singapore Limited SHOEI CO.,LTD. 1.3% 2018-09-14 Japan
Nomura Asset Management Singapore Limited SHOEI CO.,LTD. 0.75% 2018-01-31 Japan
Nomura Asset Management Singapore Limited SHOEI CO.,LTD. 1.0% 2018-07-11 Japan
Nomura Asset Management Singapore Limited SHOEI CO.,LTD. 1.22% 2018-08-01 Japan
Nomura Asset Management Singapore Limited SHOEI CO.,LTD. 0.79% 2020-08-12 Japan
Nomura Asset Management Singapore Limited SHOEI CO.,LTD. 1.59% 2019-09-10 Japan
Nomura Asset Management Singapore Limited SHOEI CO.,LTD. 1.1900000000000002% 2020-06-03 Japan
Nomura Asset Management Singapore Limited SHOEI CO.,LTD. 1.29% 2020-05-19 Japan
Nomura Asset Management Singapore Limited SHOEI CO.,LTD. 0.6799999999999999% 2020-09-29 Japan
Nomura Asset Management Singapore Limited SHOEI CO.,LTD. 1.59% 2019-06-24 Japan
Nomura Asset Management Singapore Limited SRG TAKAMIYA CO.,LTD. 0.5% 2018-12-20 Japan
Nomura Asset Management Singapore Limited SRG TAKAMIYA CO.,LTD. 0.49% 2019-02-13 Japan
Nomura Asset Management Singapore Limited SRG TAKAMIYA CO.,LTD. 0.5% 2019-01-15 Japan
Nomura Asset Management Singapore Limited Strike Company,Limited 0.6% 2020-01-10 Japan
Nomura Asset Management Singapore Limited Strike Company,Limited 0.72% 2020-01-31 Japan
Nomura Asset Management Singapore Limited Strike Company,Limited 0.53% 2019-12-02 Japan
Nomura Asset Management Singapore Limited Strike Company,Limited 0.69% 2020-06-10 Japan
Nomura Asset Management Singapore Limited Strike Company,Limited 0.8200000000000001% 2020-02-04 Japan
Nomura Asset Management Singapore Limited Strike Company,Limited 0.7000000000000001% 2020-04-27 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 0.9299999999999999% 2020-08-04 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 1.54% 2020-09-08 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 0.8699999999999999% 2020-09-08 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 1.48% 2020-09-30 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 0.7000000000000001% 2020-08-13 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 0.91% 2020-09-01 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 1.48% 2020-11-24 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 0.67% 2020-11-24 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 0.61% 2020-07-14 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 1.55% 2020-11-17 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 0.7000000000000001% 2020-08-06 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 1.6500000000000001% 2020-11-13 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 0.8% 2020-08-21 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 1.0999999999999999% 2020-08-25 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 0.8% 2020-07-22 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 1.02% 2020-08-19 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 0.74% 2020-07-15 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 0.52% 2020-07-15 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 1.6400000000000001% 2020-09-11 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 0.69% 2020-08-11 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 0.62% 2020-08-03 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 1.52% 2020-10-07 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 1.47% 2020-10-21 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 1.58% 2020-09-18 Japan
Nomura Asset Management Singapore Limited SuRaLa Net Co.,Ltd. 0.79% 2020-10-14 Japan
Nomura Asset Management Singapore Limited SUZUYO SHINWART CORPORATION 0.47000000000000003% 2020-11-18 Japan
Nomura Asset Management Singapore Limited SUZUYO SHINWART CORPORATION 0.54% 2020-10-19 Japan
Nomura Asset Management Singapore Limited TAIKO PHARMACEUTICAL CO.,LTD. 0.8099999999999999% 2020-01-24 Japan
Nomura Asset Management Singapore Limited TAIKO PHARMACEUTICAL CO.,LTD. 1.11% 2020-02-06 Japan
Nomura Asset Management Singapore Limited TAIKO PHARMACEUTICAL CO.,LTD. 1.48% 2020-04-15 Japan
Nomura Asset Management Singapore Limited TAIKO PHARMACEUTICAL CO.,LTD. 1.34% 2020-02-17 Japan
Nomura Asset Management Singapore Limited TAIKO PHARMACEUTICAL CO.,LTD. 0.52% 2020-01-21 Japan
Nomura Asset Management Singapore Limited TAIKO PHARMACEUTICAL CO.,LTD. 0.66% 2020-01-22 Japan
Nomura Asset Management Singapore Limited TAIKO PHARMACEUTICAL CO.,LTD. 0.89% 2020-06-11 Japan
Nomura Asset Management Singapore Limited TAIKO PHARMACEUTICAL CO.,LTD. 1.24% 2020-04-27 Japan
Nomura Asset Management Singapore Limited TAIKO PHARMACEUTICAL CO.,LTD. 0.49% 2020-04-27 Japan
Nomura Asset Management Singapore Limited TAIKO PHARMACEUTICAL CO.,LTD. 1.17% 2020-05-08 Japan
Nomura Asset Management Singapore Limited TAIKO PHARMACEUTICAL CO.,LTD. 0.97% 2020-01-29 Japan
Nomura Asset Management Singapore Limited TAIKO PHARMACEUTICAL CO.,LTD. 1.43% 2020-02-19 Japan
Nomura Asset Management Singapore Limited TAIKO PHARMACEUTICAL CO.,LTD. 0.49% 2020-09-17 Japan
Nomura Asset Management Singapore Limited Takamiya Co.,Ltd. 0.49% 2019-11-06 Japan
Nomura Asset Management Singapore Limited TAKI CHEMICAL CO.,LTD. 0.6% 2019-05-13 Japan
Nomura Asset Management Singapore Limited TAKI CHEMICAL CO.,LTD. 0.8999999999999999% 2019-08-23 Japan
Nomura Asset Management Singapore Limited TAKI CHEMICAL CO.,LTD. 1.1199999999999999% 2020-04-17 Japan
Nomura Asset Management Singapore Limited TAKI CHEMICAL CO.,LTD. 0.72% 2019-07-26 Japan
Nomura Asset Management Singapore Limited TAKI CHEMICAL CO.,LTD. 0.5% 2019-04-03 Japan
Nomura Asset Management Singapore Limited TAKI CHEMICAL CO.,LTD. 0.6% 2020-09-09 Japan
Nomura Asset Management Singapore Limited TAKI CHEMICAL CO.,LTD. 1.21% 2020-05-08 Japan
Nomura Asset Management Singapore Limited TAKI CHEMICAL CO.,LTD. 0.5% 2020-06-11 Japan
Nomura Asset Management Singapore Limited TAKI CHEMICAL CO.,LTD. 1.31% 2020-05-18 Japan
Nomura Asset Management Singapore Limited TAKI CHEMICAL CO.,LTD. 1.39% 2020-06-26 Japan
Nomura Asset Management Singapore Limited TAKI CHEMICAL CO.,LTD. 1.4000000000000001% 2020-06-04 Japan
Nomura Asset Management Singapore Limited TAKI CHEMICAL CO.,LTD. 0.83% 2019-07-31 Japan
Nomura Asset Management Singapore Limited TAKI CHEMICAL CO.,LTD. 1.29% 2020-10-12 Japan
Nomura Asset Management Singapore Limited TAKI CHEMICAL CO.,LTD. 0.59% 2020-09-14 Japan
Nomura Asset Management Singapore Limited TAKI CHEMICAL CO.,LTD. 1.01% 2019-09-27 Japan
Nomura Asset Management Singapore Limited Tama Home Co.,Ltd. 0.76% 2020-04-14 Japan
Nomura Asset Management Singapore Limited Tama Home Co.,Ltd. 0.51% 2019-07-30 Japan
Nomura Asset Management Singapore Limited Tama Home Co.,Ltd. 1.01% 2020-05-12 Japan
Nomura Asset Management Singapore Limited Tama Home Co.,Ltd. 0.8999999999999999% 2020-04-30 Japan
Nomura Asset Management Singapore Limited Tama Home Co.,Ltd. 1.0% 2019-10-30 Japan
Nomura Asset Management Singapore Limited Tama Home Co.,Ltd. 0.73% 2020-02-17 Japan
Nomura Asset Management Singapore Limited Tama Home Co.,Ltd. 1.09% 2019-12-06 Japan
Nomura Asset Management Singapore Limited Tama Home Co.,Ltd. 0.8200000000000001% 2020-04-16 Japan
Nomura Asset Management Singapore Limited Tama Home Co.,Ltd. 0.9199999999999999% 2019-09-13 Japan
Nomura Asset Management Singapore Limited Tama Home Co.,Ltd. 1.09% 2020-06-03 Japan
Nomura Asset Management Singapore Limited Tama Home Co.,Ltd. 1.0999999999999999% 2020-05-18 Japan
Nomura Asset Management Singapore Limited Tama Home Co.,Ltd. 0.67% 2020-08-25 Japan
Nomura Asset Management Singapore Limited Tama Home Co.,Ltd. 0.9199999999999999% 2020-01-15 Japan
Nomura Asset Management Singapore Limited Tama Home Co.,Ltd. 0.7799999999999999% 2020-08-03 Japan
Nomura Asset Management Singapore Limited Tama Home Co.,Ltd. 0.84% 2020-07-15 Japan
Nomura Asset Management Singapore Limited Tama Home Co.,Ltd. 0.59% 2020-08-27 Japan
Nomura Asset Management Singapore Limited TAMAGAWA HOLDINGS CO.,LTD. 0.5% 2020-02-21 Japan
Nomura Asset Management Singapore Limited TECNOS JAPAN INCORPORATED 0.79% 2017-03-27 Japan
Nomura Asset Management Singapore Limited TECNOS JAPAN INCORPORATED 1.52% 2016-05-27 Japan
Nomura Asset Management Singapore Limited TECNOS JAPAN INCORPORATED 1.09% 2017-03-03 Japan
Nomura Asset Management Singapore Limited TECNOS JAPAN INCORPORATED 0.91% 2017-03-10 Japan
Nomura Asset Management Singapore LTD TECNOS JAPAN INCORPORATED 1.03% 2015-07-15 Japan
Nomura Asset Management Singapore LTD TECNOS JAPAN INCORPORATED 0.8999999999999999% 2015-07-02 Japan
Nomura Asset Management Singapore Limited TECNOS JAPAN INCORPORATED 1.43% 2016-05-20 Japan
Nomura Asset Management Singapore Limited TECNOS JAPAN INCORPORATED 0.59% 2017-04-10 Japan
Nomura Asset Management Singapore Limited TECNOS JAPAN INCORPORATED 1.37% 2016-08-19 Japan
Nomura Asset Management Singapore Limited TECNOS JAPAN INCORPORATED 0.97% 2015-08-25 Japan
Nomura Asset Management Singapore Limited TECNOS JAPAN INCORPORATED 0.44999999999999996% 2017-04-11 Japan
Nomura Asset Management Singapore Limited TECNOS JAPAN INCORPORATED 0.88% 2017-03-15 Japan
Nomura Asset Management Singapore Limited TECNOS JAPAN INCORPORATED 0.88% 2015-11-19 Japan
Nomura Asset Management Singapore Limited TECNOS JAPAN INCORPORATED 1.1900000000000002% 2017-02-27 Japan
Nomura Asset Management Singapore Limited TECNOS JAPAN INCORPORATED 0.98% 2015-09-30 Japan
Nomura Asset Management Singapore Limited TECNOS JAPAN INCORPORATED 1.08% 2016-05-18 Japan
Nomura Asset Management Singapore Limited TECNOS JAPAN INCORPORATED 1.37% 2016-07-05 Japan
Nomura Asset Management Singapore Limited TECNOS JAPAN INCORPORATED 1.29% 2016-11-22 Japan
Nomura Asset Management Singapore Limited TECNOS JAPAN INCORPORATED 1.4000000000000001% 2016-08-05 Japan
Nomura Asset Management Singapore Limited TEKKEN CORPORATION 0.8% 2016-08-31 Japan
Nomura Asset Management Singapore Limited TEKKEN CORPORATION 0.66% 2016-01-29 Japan
Nomura Asset Management Singapore Limited TEKKEN CORPORATION 1.04% 2016-01-18 Japan
Nomura Asset Management Singapore Limited TEKKEN CORPORATION 0.73% 2016-01-27 Japan
Nomura Asset Management Singapore Limited TEKKEN CORPORATION 0.89% 2017-06-23 Japan
Nomura Asset Management Singapore Limited TEKKEN CORPORATION 0.7000000000000001% 2016-08-26 Japan
Nomura Asset Management Singapore Limited TEKKEN CORPORATION 0.58% 2017-11-02 Japan
Nomura Asset Management Singapore Limited TEKKEN CORPORATION 0.9400000000000001% 2016-01-20 Japan
Nomura Asset Management Singapore Limited TEKKEN CORPORATION 0.8699999999999999% 2016-01-25 Japan
Nomura Asset Management Singapore Limited TEKKEN CORPORATION 0.61% 2016-08-23 Japan
Nomura Asset Management Singapore Limited TEKKEN CORPORATION 0.91% 2016-11-16 Japan
Nomura Asset Management Singapore Limited TEKKEN CORPORATION 0.69% 2017-09-12 Japan
Nomura Asset Management Singapore Limited TEKKEN CORPORATION 0.48% 2017-12-06 Japan
Nomura Asset Management Singapore Limited Tensho Electric Industries Co.,Ltd. 0.48% 2020-02-07 Japan
Nomura Asset Management Singapore Limited Tensho Electric Industries Co.,Ltd. 0.98% 2020-01-17 Japan
Nomura Asset Management Singapore Limited Tensho Electric Industries Co.,Ltd. 0.5% 2019-09-12 Japan
Nomura Asset Management Singapore Limited Tensho Electric Industries Co.,Ltd. 1.08% 2020-01-10 Japan
Nomura Asset Management Singapore Limited Tensho Electric Industries Co.,Ltd. 0.64% 2020-01-31 Japan
Nomura Asset Management Singapore Limited Tensho Electric Industries Co.,Ltd. 1.83% 2019-09-27 Japan
Nomura Asset Management Singapore Limited Tensho Electric Industries Co.,Ltd. 1.24% 2019-10-03 Japan
Nomura Asset Management Singapore Limited Tensho Electric Industries Co.,Ltd. 0.5499999999999999% 2019-10-03 Japan
Nomura Asset Management Singapore Limited Tensho Electric Industries Co.,Ltd. 1.16% 2019-10-04 Japan
Nomura Asset Management Singapore Limited Tensho Electric Industries Co.,Ltd. 0.49% 2019-10-04 Japan
Nomura Asset Management Singapore Limited Tensho Electric Industries Co.,Ltd. 1.3599999999999999% 2019-09-18 Japan
Nomura Asset Management Singapore Limited Tensho Electric Industries Co.,Ltd. 0.51% 2019-09-18 Japan
Nomura Asset Management Singapore Limited Tensho Electric Industries Co.,Ltd. 1.31% 2019-10-02 Japan
Nomura Asset Management Singapore Limited Tensho Electric Industries Co.,Ltd. 1.29% 2019-12-13 Japan
Nomura Asset Management Singapore Limited Tensho Electric Industries Co.,Ltd. 1.1900000000000002% 2019-12-26 Japan
Nomura Asset Management Singapore Limited Tensho Electric Industries Co.,Ltd. 0.89% 2019-09-13 Japan
Nomura Asset Management Singapore Limited Tensho Electric Industries Co.,Ltd. 1.3599999999999999% 2019-11-25 Japan
Nomura Asset Management Singapore Limited Tensho Electric Industries Co.,Ltd. 0.47000000000000003% 2019-11-25 Japan
Nomura Asset Management Singapore Limited Tensho Electric Industries Co.,Ltd. 1.6099999999999999% 2019-09-26 Japan
Nomura Asset Management Singapore Limited Tensho Electric Industries Co.,Ltd. 0.59% 2020-02-04 Japan
Nomura Asset Management Singapore Limited Tensho Electric Industries Co.,Ltd. 1.4500000000000002% 2019-10-18 Japan
Nomura Asset Management Singapore Limited Tensho Electric Industries Co.,Ltd. 0.7799999999999999% 2020-01-28 Japan
Nomura Asset Management Singapore Limited Tensho Electric Industries Co.,Ltd. 1.24% 2019-10-10 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 3.39% 2018-09-20 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 0.63% 2018-08-03 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 0.53% 2018-08-03 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 2.92% 2019-04-24 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 2.87% 2018-08-21 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 1.27% 2018-08-21 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 1.82% 2019-10-25 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 3.11% 2018-09-10 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 1.8900000000000001% 2019-08-22 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 0.69% 2019-08-22 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 3.5000000000000004% 2018-09-25 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 2.12% 2019-06-14 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 0.5% 2018-09-07 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 2.5100000000000002% 2019-05-27 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 1.09% 2019-03-26 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 0.9400000000000001% 2018-08-13 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 1.55% 2018-08-15 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 0.95% 2018-08-15 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 1.67% 2019-11-11 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 2.86% 2019-04-25 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 3.4099999999999997% 2018-09-21 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 1.03% 2018-08-14 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 0.8699999999999999% 2018-08-14 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 2.64% 2018-08-20 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 2.37% 2019-06-04 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 0.88% 2019-06-04 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 1.78% 2019-11-06 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 2.48% 2019-06-03 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 3.11% 2018-12-21 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 0.5% 2019-01-07 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 0.44999999999999996% 2018-12-21 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 0.95% 2019-04-26 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 3.37% 2018-12-17 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 0.48% 2019-06-18 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 1.49% 2019-12-06 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 0.7799999999999999% 2018-08-06 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 0.83% 2018-08-11 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 0.7799999999999999% 2019-06-18 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 0.66% 2018-08-06 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 0.7000000000000001% 2018-08-11 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 2.3% 2018-08-17 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 1.1400000000000001% 2018-08-17 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 3.2% 2018-09-12 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 1.79% 2019-10-02 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 0.5% 2020-02-17 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 2.9899999999999998% 2018-08-27 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 0.49% 2020-01-21 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 1.11% 2018-11-07 Japan
Nomura Asset Management Singapore Limited Terilogy Co.,Ltd. 2.09% 2019-06-17 Japan
Nomura Asset Management Singapore Limited The Aomori Bank,Ltd. 0.59% 2017-12-27 Japan
Nomura Asset Management Singapore Limited The Aomori Bank,Ltd. 0.5% 2019-06-12 Japan
Nomura Asset Management Singapore Limited The Aomori Bank,Ltd. 0.49% 2018-03-12 Japan
Nomura Asset Management Singapore Limited The Aomori Bank,Ltd. 0.49% 2019-12-10 Japan
Nomura Asset Management Singapore Limited The Aomori Bank,Ltd. 0.5% 2018-10-10 Japan
Nomura Asset Management Singapore Limited The Aomori Bank,Ltd. 0.5700000000000001% 2017-10-16 Japan
Nomura Asset Management Singapore Limited The Aomori Bank,Ltd. 0.49% 2020-04-15 Japan
Nomura Asset Management Singapore Limited The Aomori Bank,Ltd. 0.49% 2017-08-22 Japan
Nomura Asset Management Singapore Limited TOKYO THEATRES COMPANY,INCORPORATED 0.8999999999999999% 2016-12-13 Japan
Nomura Asset Management Singapore Limited TOKYO THEATRES COMPANY,INCORPORATED 0.76% 2016-12-12 Japan
Nomura Asset Management Singapore Limited TOKYO THEATRES COMPANY,INCORPORATED 0.5499999999999999% 2016-12-27 Japan
Nomura Asset Management Singapore Limited TOKYO THEATRES COMPANY,INCORPORATED 0.64% 2016-12-09 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 0.7000000000000001% 2019-06-18 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 0.97% 2018-12-17 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 1.4500000000000002% 2020-06-30 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 1.08% 2018-12-19 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 0.6% 2018-10-17 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 0.9900000000000001% 2020-09-29 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 1.5699999999999998% 2019-05-10 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 2.1399999999999997% 2020-05-22 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 2.17% 2020-04-15 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 0.96% 2018-12-05 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 2.5% 2019-11-26 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 0.5% 2019-07-26 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 2.42% 2019-09-09 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 1.96% 2020-06-03 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 0.8999999999999999% 2019-11-01 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 2.03% 2019-06-24 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 2.1999999999999997% 2019-07-24 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 1.8800000000000001% 2020-06-11 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 0.7799999999999999% 2020-06-11 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 1.0% 2019-01-23 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 0.88% 2020-04-27 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 1.59% 2020-06-26 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 0.6799999999999999% 2020-06-26 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 1.82% 2019-06-14 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 1.18% 2020-08-25 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 1.21% 2019-03-29 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 2.44% 2019-11-15 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 0.79% 2019-07-31 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 0.88% 2020-11-25 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 0.6% 2018-11-20 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 0.8999999999999999% 2020-01-14 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 1.94% 2019-06-19 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 1.31% 2019-04-17 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 0.89% 2019-12-10 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 0.5% 2018-09-27 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 2.42% 2019-12-04 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 1.13% 2019-02-01 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 1.79% 2020-06-19 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 0.8999999999999999% 2019-11-11 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 0.7000000000000001% 2018-11-09 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 2.3% 2020-01-10 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 1.72% 2019-05-24 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 1.29% 2020-07-17 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 0.8% 2019-07-29 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 1.6199999999999999% 2019-05-22 Japan
Nomura Asset Management Singapore Limited Tri Chemical Laboratories Inc. 0.89% 2019-11-08 Japan
Nomura Asset Management Singapore Limited UT Group Co.,Ltd. 0.59% 2020-11-06 Japan
Nomura Asset Management Singapore Limited UT Group Co.,Ltd. 0.59% 2020-08-13 Japan
Nomura Asset Management Singapore Limited UT Group Co.,Ltd. 0.61% 2020-08-21 Japan
Nomura Asset Management Singapore Limited UT Group Co.,Ltd. 0.58% 2020-11-25 Japan
Nomura Asset Management Singapore Limited UT Group Co.,Ltd. 0.6% 2020-11-10 Japan
Nomura Asset Management Singapore Limited VIA Holdings,Inc. 0.5% 2017-03-27 Japan
Nomura Asset Management Singapore Limited WITZ Corporation 0.5700000000000001% 2020-09-08 Japan
Nomura Asset Management Singapore Limited WITZ Corporation 0.72% 2020-09-10 Japan
Nomura Asset Management Singapore Limited WITZ Corporation 0.54% 2020-10-26 Japan
Nomura Asset Management Singapore Limited WITZ Corporation 0.37% 2020-10-27 Japan
Nomura Asset Management Singapore Limited WITZ Corporation 0.7100000000000001% 2020-10-19 Japan
Nomura Asset Management Singapore Limited YA-MAN LTD. 0.7100000000000001% 2017-07-25 Japan
Nomura Asset Management Singapore Limited YA-MAN LTD. 0.63% 2017-07-18 Japan
Nomura Asset Management Singapore Limited YA-MAN LTD. 0.6% 2017-10-11 Japan
Nomura Asset Management Singapore Limited YA-MAN LTD. 0.89% 2017-10-04 Japan
Nomura Asset Management Singapore Limited YA-MAN LTD. 0.7000000000000001% 2017-10-06 Japan
Nomura Asset Management Singapore Limited YA-MAN LTD. 0.9199999999999999% 2017-09-14 Japan
Nomura Asset Management Singapore Limited YA-MAN LTD. 0.58% 2017-07-14 Japan
Nomura Asset Management Singapore Limited YAMASHIN-FILTER CORP. 0.6% 2020-06-16 Japan
Nomura Asset Management Singapore Limited YAMASHIN-FILTER CORP. 0.59% 2019-12-03 Japan
Nomura Asset Management Singapore Limited YAMASHIN-FILTER CORP. 0.5% 2020-05-22 Japan
Nomura Asset Management Singapore Limited YAMASHIN-FILTER CORP. 0.48% 2020-09-30 Japan
Nomura Asset Management Singapore Limited YAMASHIN-FILTER CORP. 0.5% 2019-09-26 Japan
Nomura Asset Management Singapore Limited YAMASHIN-FILTER CORP. 0.49% 2020-01-22 Japan
Nomura Asset Management Singapore Limited YAMASHIN-FILTER CORP. 0.6% 2020-08-24 Japan
Nomura Asset Management Singapore Limited YAMASHIN-FILTER CORP. 0.47000000000000003% 2018-10-01 Japan
Nomura Asset Management Singapore Limited YAMASHIN-FILTER CORP. 0.52% 2018-07-24 Japan
Nomura Asset Management Singapore Limited YAMAURA CORPORATION 0.49% 2020-09-14 Japan
Nomura Asset Management Singapore Limited YAMAURA CORPORATION 0.59% 2020-11-27 Japan
Nomura Asset Management Singapore Limited YAMAURA CORPORATION 0.6% 2020-09-02 Japan
Nomura Asset Management Singapore Limited YAMAURA CORPORATION 0.5% 2020-09-25 Japan
Nomura Asset Management Singapore Limited YAMAURA CORPORATION 0.5% 2020-09-10 Japan
Nomura Asset Management Singapore Limited YOKOWO CO.,LTD. 0.49% 2020-06-26 Japan
Nomura Asset Management Singapore Limited YOKOWO CO.,LTD. 0.51% 2020-06-08 Japan
Nomura Asset Management Singapore Limited YOKOWO CO.,LTD. 0.48% 2020-08-18 Japan
Nomura Asset Management Singapore Limited YONEX CO.,LTD. 0.48% 2015-10-14 Japan
Nomura Asset Management Singapore Limited YOROZU CORPORATION 0.49% 2020-09-25 Japan
Nomura Asset Management Singapore Limited YOROZU CORPORATION 0.5% 2020-08-07 Japan

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