TAKI CHEMICAL CO.,LTD. - Short Position History View Stock Details

Current Active Short Positions

Holder Issuer Net Short Position Position Date Origin

Short Position History

Holder Net Short Position Position Date Origin
MERRILL LYNCH INTERNATIONAL TAKI CHEMICAL CO.,LTD. 0.54% 2021-06-01 Japan
MERRILL LYNCH INTERNATIONAL TAKI CHEMICAL CO.,LTD. 0.52% 2021-05-21 Japan
MERRILL LYNCH INTERNATIONAL TAKI CHEMICAL CO.,LTD. 0.5% 2021-06-29 Japan
MERRILL LYNCH INTERNATIONAL TAKI CHEMICAL CO.,LTD. 0.51% 2021-06-23 Japan
MERRILL LYNCH INTERNATIONAL TAKI CHEMICAL CO.,LTD. 0.5% 2021-06-04 Japan
MERRILL LYNCH INTERNATIONAL TAKI CHEMICAL CO.,LTD. 0.51% 2021-04-30 Japan
MERRILL LYNCH INTERNATIONAL TAKI CHEMICAL CO.,LTD. 0.5499999999999999% 2021-06-10 Japan
MERRILL LYNCH INTERNATIONAL TAKI CHEMICAL CO.,LTD. 0.52% 2021-05-07 Japan
MERRILL LYNCH INTERNATIONAL TAKI CHEMICAL CO.,LTD. 0.49% 2021-06-30 Japan
MERRILL LYNCH INTERNATIONAL TAKI CHEMICAL CO.,LTD. 0.52% 2021-06-22 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. 0.61% 2021-07-14 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. 1.09% 2021-07-27 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. 1.0999999999999999% 2021-07-19 Japan
Nomura Asset Management Singapore Limited TAKI CHEMICAL CO.,LTD. 0.59% 2021-09-01 Japan
Nomura Asset Management Singapore Limited TAKI CHEMICAL CO.,LTD. 1.01% 2019-09-27 Japan
モルガン・スタンレーMUFG証券株式会社 TAKI CHEMICAL CO.,LTD. 0.5% 2021-01-21 Japan

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