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Listed Index Fund International Bond (FTSE WGBI) Monthly Dividend Payment Type(1677) Summary

1677
TSE ETF
Listed Index Fund International Bond (FTSE WGBI) Monthly Dividend Payment Type
60,540
JPY
-170
(-0.28%)
Mar 19, 2:16 pm JST
379.10
USD
Mar 19, 1:16 am EDT
Result
PTS
outside of trading hours
Summary Chart Historical News
PER
PBR
Yield
ー%
Margin Trading Ratio
7.75
Stock Price
Mar 19, 2026
Opening Mar 19, 9:00 am
60,710 JPY 379.88 USD
Previous Close Mar 18
60,710 JPY 382.06 USD
High Mar 19, 9:00 am
60,710 JPY 379.88 USD
Low Mar 19, 9:02 am
60,220 JPY 376.84 USD
Volume
130
Trading Value
8.00M JPY 0.05M USD
VWAP
60439.23 JPY 378.58 USD
Minimum Trading Value
605,400 JPY 3,791 USD
Market Cap
0.03T JPY 0.19B USD
Number of Trades
9
Liquidity & Number of Trades
As of Mar 19, 2026
Liquidity
Low
1-Year Average
5
1-Year High Feb 19, 2026
25
Margin Trading
Date Short Interest Long Margin Positions Ratio
Mar 13, 2026 0 380
Mar 6, 2026 0 290
Feb 27, 2026 0 250
Feb 20, 2026 0 430
Feb 13, 2026 0 310
Company Profile