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Listed Index Fund J-REIT Bi-Monthly Dividend Payment Type(1345) Summary

1345
TSE ETF
Listed Index Fund J-REIT Bi-Monthly Dividend Payment Type
1,656.5
JPY
+4.0
(+0.24%)
Dec 23, 3:30 pm JST
10.57
USD
Dec 23, 1:30 am EST
Result
PTS
outside of trading hours
1,656.6
Dec 23, 2:21 pm JST
Summary Chart Historical News
PER
PBR
Yield
ー%
Margin Trading Ratio
16.85
Stock Price
Dec 23, 2024
Opening Dec 23, 9:00 am
1,653.0 JPY 10.55 USD
Previous Close Dec 20
1,652.5 JPY 10.53 USD
High Dec 23, 3:12 pm
1,661.0 JPY 10.60 USD
Low Dec 23, 9:00 am
1,652.0 JPY 10.55 USD
Volume
83,400
Trading Value
0.14B JPY 0.88M USD
VWAP
1656.36 JPY 10.58 USD
Minimum Trading Value
165,650 JPY 1,057 USD
Market Cap
0.15T JPY 0.97B USD
Number of Trades
91
Liquidity & Number of Trades
As of Dec 23, 2024
Liquidity
Mid
1-Year Average
131
1-Year High Feb 22, 2024
1,288
Margin Trading
Date Short Interest Long Margin Positions Ratio
Dec 13, 2024 11,500 81,100 7.05
Dec 6, 2024 4,000 75,600 18.90
Nov 29, 2024 4,500 68,900 15.31
Nov 22, 2024 3,900 65,700 16.85
Nov 15, 2024 4,300 70,700 16.44
Company Profile