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
2024-08-23(金)840+8000011,464+760800+80000810+710
2024-08-16(金)4000010,704+7,1220000100-7,052
2024-08-09(金)400003,582-7,07200007,152+7,132
2024-08-02(金)4000010,654-160000020-220
2024-07-26(金)4000010,814+2300000240+199
2024-07-19(金)40-3500-35010,584+91000041-6,991
2024-07-12(金)390-1,500350010,493+400-3500-3507,032+7,002
2024-07-05(金)1,890+350350+35010,453-220350+350350+35030-10
2024-06-28(金)1,54000010,673-20000040+10
2024-06-21(金)1,54000010,693+50000030-2,580
2024-06-14(金)1,54000010,643+49000002,610-2,312
2024-06-07(金)1,54000010,153-4410-1,500004,922+4,862
2024-05-31(金)1,540+1,5000010,594+101,500+1,5000060-10
2024-05-24(金)40-1,5800010,584-10000070-30
2024-05-17(金)1,620-600010,594+7,1040-6000100-6,982
2024-05-10(金)1,680+60003,490-7,01460+60007,082+7,062
2024-05-02(木)1,62000010,504-60000020-20
2024-04-26(金)1,62000010,564-40000040+10
2024-04-19(金)1,62000010,604+500-2000030-7,562
2024-04-12(金)1,62000010,554+99200-0-7,592-