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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
59,460
JPY
-40
(-0.07%)
Dec 12, 12:31 pm JST
381.96
USD
Dec 11, 10:31 pm EST
Result
PTS
outside of trading hours
Summary Chart Historical News
PER
PBR
Yield
ー%
Margin Trading Ratio
7.75
Stock Price
Dec 12, 2025
Opening Dec 12, 9:00 am
59,640 JPY 383.53 USD
Previous Close Dec 11
59,500 JPY 381.60 USD
High Dec 12, 9:00 am
59,640 JPY 383.53 USD
Low Dec 12, 9:16 am
59,430 JPY 381.96 USD
Volume
50
Trading Value
3.00M JPY 0.02M USD
VWAP
59490.0 JPY 381.25 USD
Minimum Trading Value
594,600 JPY 3,819 USD
Market Cap
0.03T JPY 0.21B USD
Number of Trades
3
Liquidity & Number of Trades
As of Dec 12, 2025
Liquidity
Low
1-Year Average
4
1-Year High Apr 7, 2025
23
Margin Trading
Date Short Interest Long Margin Positions Ratio
Dec 5, 2025 0 350
Nov 28, 2025 0 320
Nov 21, 2025 0 260
Nov 14, 2025 0 180
Nov 7, 2025 0 130
Company Profile