1677: Listed Index Fund International Bond (FTSE WGBI) Monthly Dividend Payment Type | Loan/debt balances (JSDA)

Report dateLoan balanceWeek over weekDebt balance (own)Week over weekDebt balance (sublease)Week over weekNew loan contract amountWeek over weekNew debt contract amount (own)Week over weekNew debt contract amount (sublease)Week over week
2025-10-17(金)60-250-1015,533+12,3110000100-12,151
2025-10-10(金)85-1,5201003,222-12,421000012,251+12,231
2025-10-03(金)1,605010015,643-130000020+10
2025-09-26(金)1,605010015,773-30000010-40
2025-09-19(金)1,605010015,803-20000050-12,511
2025-09-12(金)1,605010015,823+1600-400012,561+12,521
2025-09-05(金)1,605-20010015,663-37040-1600040-160
2025-08-29(金)1,805+20010016,033+210200+20000200+169
2025-08-22(金)1,605010015,823+31000031-99
2025-08-15(金)1,605010015,792+12,5410000130-12,301
2025-08-08(金)1,605-2001003,251-12,4920-1,8200-10012,431+12,411
2025-08-01(金)1,805+1,72010015,743-801,820+1,820100+10020-51
2025-07-25(金)85-1,40010015,823+610-250-1071-29
2025-07-18(金)1,485+2510+1015,762+19025+2510+10100-12,331
2025-07-11(金)1,46000015,572-410-1,4000012,431+12,421
2025-07-04(金)1,460+1,4000015,613-1901,400+1,4000010-10
2025-06-27(金)6000015,803-70000020+10
2025-06-20(金)6000015,873+100-2700-1010-12,741
2025-06-13(金)60-1,7700-10015,863+50270-10-12,751-
2025-06-06(金)1,830-290100015,813-210------