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

1345
TSE ETF
Listed Index Fund J-REIT (Tokyo Stock Exchange REIT Index) Bi-Monthly Dividend Payment Type
2,033.5
JPY
+27.0
(+1.35%)
Jan 29, 3:30 pm JST
13.29
USD
Jan 29, 1:30 am EST
Result
PTS
outside of trading hours
1,996.1
Jan 29, 3:24 pm JST
Summary Chart Historical News
PER
PBR
Yield
ー%
Margin Trading Ratio
16.85
Stock Price
Jan 29, 2026
Opening Jan 29, 9:00 am
2,001.0 JPY 13.06 USD
Previous Close Jan 28
2,006.5 JPY 13.14 USD
High Jan 29, 3:30 pm
2,033.5 JPY 13.29 USD
Low Jan 29, 9:02 am
1,985.5 JPY 12.96 USD
Volume
54,000
Trading Value
0.11B JPY 0.71M USD
VWAP
2001.12 JPY 13.08 USD
Minimum Trading Value
203,350 JPY 1,329 USD
Market Cap
0.19T JPY 1.27B USD
Number of Trades
106
Liquidity & Number of Trades
As of Jan 29, 2026
Liquidity
Mid
1-Year Average
85
1-Year High Apr 7, 2025
243
Margin Trading
Date Short Interest Long Margin Positions Ratio
Jan 23, 2026 300 63,600 212.00
Jan 16, 2026 4,900 71,600 14.61
Jan 9, 2026 200 58,600 293.00
Dec 26, 2025 500 57,700 115.40
Dec 19, 2025 1,400 58,000 41.43
Company Profile