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iShares Core MSCI Pacific ETF IPAC

Cena: 67.08
AMEX 05-28 21:59

Fundusz ogólnie inwestuje co najmniej 80% swoich aktywów w składowe papiery wartościowe wskaźnika bazowego oraz w inwestycje, które mają cechy ekonomiczne, które są zasadniczo identyczne z papierami wartościowymi składników wskaźnika podstawowego. Indeks to bezpłatny indeks kapitalizacji rynkowej, który składa się z papierów wartościowych z następujących pięciu krajów lub regionów: Australia, Hongkongu, Japonii, Nowej Zelandii i Singapuru.
Wartość aktywów (mln USD): 1 985
Liczba spółek: 1423
Stopa dywidendy: 2.96 %
Opłata za zarządzanie:: 0.09 %
Klasa aktywów: Equity

ISIN: US46434V6965

Wystawca ETF: IShares

https://www.ishares.com/us/products/264619/



NOTOWANIA
ZMIANA CEN

Nazwa Symbol Klasa_aktywów Wartość_aktywów 5D 1M 3M 6M 2024 1R 3L 5L 10L

STRUKTURA SEKTOROWA PORTFELA ETF


FinanseProdukcja PrzemysłowaDobra Trwałego UżytkuTechnologia ElektronicznaTechnologie MedyczneMinerały NienergetyczneHandel DetalicznyPrzemysł ProcesowyUsługi TechnologiczneTransportDobra Nietrwałego UżytkuKomunikacjaUsługi DystrybucyjneUsługi KonsumenckiePrzedsiębiorstwa Użyteczności PublicznejMinerały EnergetyczneUsługi KomercyjneUsługi PrzemysłoweUsługi ZdrowotneGotówka





Sektor Udział %
Finanse 24.6
Produkcja Przemysłowa 9.8
Dobra Trwałego Użytku 8.3
Technologia Elektroniczna 7.9
Technologie Medyczne 7.3
Minerały Nienergetyczne 5.9
Handel Detaliczny 4.8
Przemysł Procesowy 4.4
Usługi Technologiczne 4.2
Transport 3.8
Dobra Nietrwałego Użytku 3.6
Komunikacja 3.3

STRUKTURA PORTFELA ETF
Aktualizacja danych: 2025-04-06 11:04:57
Nazwa firmy Symbol Wartość Udział % w portfelu Ilość akcji
COMMONWEALTH BANK OF AUSTRALIA CBA 47 180 328 2.4 473 550
TOYOTA MOTOR CORP 7203 46 444 232 2.4 2 682 000
SONY GROUP CORP 6758 42 039 679 2.1 1 740 900
MITSUBISHI UFJ FINANCIAL GROUP INC 8306 40 602 754 2.1 3 239 200
BHP GROUP LTD BHP 33 883 355 1.7 1 436 897
HITACHI LTD 6501 29 222 343 1.5 1 310 500
SUMITOMO MITSUI FINANCIAL GROUP IN 8316 24 642 421 1.3 1 054 700
AIA GROUP LTD 1299.HK 23 386 230 1.2 3 048 600
CSL LTD CSL 22 493 920 1.1 137 007
RECRUIT HOLDINGS LTD 6098 21 742 409 1.1 397 100
NINTENDO LTD 7974 21 617 574 1.1 311 900
KEYENCE CORP 6861 20 980 795 1.1 54 900
WESTPAC BANKING CORPORATION CORP WBC 19 681 261 1.0 973 205
DBS GROUP HOLDINGS LTD D05 19 282 839 1.0 564 040
TOKIO MARINE HOLDINGS INC 8766 19 098 332 1.0 503 000
NATIONAL AUSTRALIA BANK LTD NAB 18 952 707 1.0 870 277
MITSUBISHI CORP 8058 17 668 099 0.9 966 000
TOKYO ELECTRON LTD 8035 17 346 388 0.9 126 900
MIZUHO FINANCIAL GROUP INC 8411 17 331 469 0.9 682 720
FAST RETAILING LTD 9983 16 819 885 0.9 54 000
MITSUBISHI HEAVY INDUSTRIES LTD 7011 15 719 336 0.8 908 100
ANZ GROUP HOLDINGS LTD ANZ 15 729 564 0.8 844 013
ITOCHU CORP 8001 15 353 899 0.8 336 700
HONG KONG EXCHANGES AND CLEARING L 0388.HK 15 159 649 0.8 340 300
WESFARMERS LTD WES 15 139 687 0.8 321 711
JPY CASH 14 537 252 0.7 2 114 225 368
SHIN ETSU CHEMICAL LTD 4063 14 374 231 0.7 507 900
TAKEDA PHARMACEUTICAL LTD 4502 14 078 729 0.7 451 000
KDDI CORP 9433 13 530 803 0.7 864 800
SOFTBANK GROUP CORP 9984 13 349 334 0.7 270 700
MITSUI LTD 8031 13 325 106 0.7 711 300
MACQUARIE GROUP LTD DEF MQG 12 507 767 0.6 102 634
SEA ADS REPRESENTING LTD CLASS A SE 12 423 614 0.6 103 487
DAIICHI SANKYO LTD 4568 12 334 340 0.6 493 900
OVERSEA-CHINESE BANKING LTD O39 12 254 678 0.6 954 775
HONDA MOTOR LTD 7267 11 558 564 0.6 1 264 400
SOFTBANK CORP 9434 11 488 691 0.6 8 114 900
HOYA CORP 7741 10 683 253 0.5 98 900
GOODMAN GROUP UNITS GMG 10 606 435 0.5 573 628
UNITED OVERSEAS BANK LTD U11 9 877 137 0.5 356 600
MITSUBISHI ELECTRIC CORP 6503 9 837 555 0.5 540 100
FUJITSU LTD 6702 9 804 331 0.5 497 000
JAPAN TOBACCO INC 2914 9 413 370 0.5 338 200
ADVANTEST CORP 6857 9 132 717 0.5 215 900
SEVEN & I HOLDINGS LTD 3382 8 862 185 0.4 624 000
CHUGAI PHARMACEUTICAL LTD 4519 8 627 087 0.4 189 300
NIPPON TELEGRAPH AND TELEPHONE COR 9432 8 325 915 0.4 8 497 400
DAIKIN INDUSTRIES LTD 6367 8 103 895 0.4 74 500
CANON INC 7751 8 079 952 0.4 263 300
SOMPO HOLDINGS INC 8630 7 839 571 0.4 251 300
WOODSIDE ENERGY GROUP LTD WDS 7 666 957 0.4 535 285
MS&AD INSURANCE GROUP HOLDINGS INC 8725 7 545 534 0.4 366 100
RIO TINTO LTD RIO 7 540 578 0.4 105 725
TRANSURBAN GROUP STAPLED UNITS TCL 7 542 628 0.4 874 950
NEC CORP 6701 7 459 546 0.4 350 300
DAI-ICHI LIFE HOLDINGS INC 8750 7 357 721 0.4 1 019 600
KOMATSU LTD 6301 7 362 245 0.4 255 300
MURATA MANUFACTURING LTD 6981 7 332 433 0.4 476 600
PANASONIC HOLDINGS CORP 6752 7 258 582 0.4 656 500
FANUC CORP 6954 7 024 746 0.4 266 400
TERUMO CORP 4543 6 969 271 0.4 378 200
SUMITOMO CORP 8053 6 928 290 0.4 307 200
MITSUI FUDOSAN LTD 8801 6 907 299 0.4 752 200
ORIX CORP 8591 6 755 266 0.3 325 100
WOOLWORTHS GROUP LTD WOW 6 663 017 0.3 347 311
ARISTOCRAT LEISURE LTD ALL 6 630 818 0.3 159 690
OTSUKA HOLDINGS LTD 4578 6 573 933 0.3 125 800
DENSO CORP 6902 6 531 366 0.3 532 300
BRIDGESTONE CORP 5108 6 309 199 0.3 160 500
MARUBENI CORP 8002 6 310 344 0.3 401 200
FUJIFILM HOLDINGS CORP 4901 6 212 829 0.3 315 600
RENESAS ELECTRONICS CORP 6723 6 173 555 0.3 473 800
ORIENTAL LAND LTD 4661 6 018 049 0.3 307 100
QBE INSURANCE GROUP LTD QBE 5 937 901 0.3 424 384
KAO CORP 4452 5 820 620 0.3 131 000
NIPPON STEEL CORP 5401 5 705 805 0.3 273 328
BANDAI NAMCO HOLDINGS INC 7832 5 684 403 0.3 169 200
SINGAPORE TELECOMMUNICATIONS LTD Z74 5 664 829 0.3 2 095 200
SMC (JAPAN) CORP 6273 5 657 496 0.3 16 200
SUZUKI MOTOR CORP 7269 5 429 385 0.3 441 500
ASAHI GROUP HOLDINGS LTD 2502 5 394 640 0.3 411 200
TDK CORP 6762 5 358 787 0.3 547 300
DAIWA HOUSE INDUSTRY LTD 1925 5 329 193 0.3 158 400
JAPAN POST HOLDINGS LTD 6178 5 291 804 0.3 541 600
AUD CASH 5 262 031 0.3 8 258 701
EAST JAPAN RAILWAY 9020 5 237 016 0.3 255 500
AJINOMOTO INC 2802 5 211 068 0.3 261 200
DISCO CORP 6146 5 223 426 0.3 26 200
BRAMBLES LTD BXB 5 091 074 0.3 391 302
JAPAN POST BANK LTD 7182 5 068 205 0.3 510 100
MITSUBISHI ESTATE CO LTD 8802 5 037 673 0.3 303 000
NOMURA HOLDINGS INC 8604 4 927 522 0.2 843 000
COLES GROUP LTD COL 4 877 235 0.2 377 268
ASTELLAS PHARMA INC 4503 4 817 820 0.2 509 400
AEON LTD 8267 4 745 786 0.2 184 300
RESONA HOLDINGS INC 8308 4 667 721 0.2 594 700
FORTESCUE LTD FMG 4 544 285 0.2 477 390
SUMITOMO MITSUI TRUST GROUP INC 8309 4 404 137 0.2 182 900
CENTRAL JAPAN RAILWAY 9022 4 354 335 0.2 216 800
CK HUTCHISON HOLDINGS LTD 0001.HK 4 260 835 0.2 755 572
KYOCERA CORP 6971 4 198 418 0.2 361 300
BOC HONG KONG HOLDINGS LTD 2388.HK 4 183 608 0.2 1 054 500
TECHTRONIC INDUSTRIES LTD 0669.HK 4 106 881 0.2 388 500
OLYMPUS CORP 7733 4 022 361 0.2 315 700
SECOM LTD 9735 4 006 299 0.2 117 400
XERO LTD XRO 3 964 330 0.2 41 364
NIPPON YUSEN 9101 3 915 313 0.2 122 800
SUN HUNG KAI PROPERTIES LTD 0016.HK 3 897 552 0.2 411 500
ENEOS HOLDINGS INC 5020 3 890 015 0.2 763 900
TOYOTA INDUSTRIES CORP 6201 3 897 885 0.2 46 600
SANTOS LTD STO 3 817 742 0.2 912 010
SUNCORP GROUP LTD SUN 3 796 303 0.2 308 878
NORTHERN STAR RESOURCES LTD NST 3 792 626 0.2 322 628
CLP HOLDINGS LTD 0002.HK 3 803 659 0.2 462 500
NIDEC CORP 6594 3 733 375 0.2 235 100
SEKISUI HOUSE LTD 1928 3 718 374 0.2 169 100
ASICS CORP 7936 3 659 146 0.2 182 000
COMPUTERSHARE LTD CPU 3 643 781 0.2 150 695
NOMURA RESEARCH INSTITUTE LTD 4307 3 610 508 0.2 106 510
NITTO DENKO CORP 6988 3 553 898 0.2 197 200
LINK REAL ESTATE INVESTMENT TRUST 0823.HK 3 530 157 0.2 742 900
FISHER AND PAYKEL HEALTHCARE CORPO FPH 3 441 338 0.2 167 392
INPEX CORP 1605 3 427 222 0.2 251 800
ORIGIN ENERGY LTD ORG 3 402 005 0.2 494 848
KONAMI GROUP CORP 9766 3 406 353 0.2 28 100
INSURANCE AUSTRALIA GROUP LTD IAG 3 369 864 0.2 678 943
SHIONOGI LTD 4507 3 315 507 0.2 212 700
SUMITOMO REALTY & DEVELOPMENT LTD 8830 3 259 229 0.2 88 500
MITSUI OSK LINES LTD 9104 3 270 706 0.2 96 800
KUBOTA CORP 6326 3 245 161 0.2 276 000
NTT DATA GROUP CORP 9613 3 196 641 0.2 180 300
SCENTRE GROUP SCG 3 185 878 0.2 1 466 335
COCHLEAR LTD COH 3 159 802 0.2 18 449
TELSTRA GROUP LTD TLS 3 152 285 0.2 1 139 972
TOKYO GAS LTD 9531 3 147 660 0.2 97 400
SUMITOMO ELECTRIC INDUSTRIES LTD 5802 3 119 606 0.2 200 000
KANSAI ELECTRIC POWER INC 9503 3 070 622 0.2 263 700
KIRIN HOLDINGS LTD 2503 3 045 985 0.2 218 600
SHIMANO INC 7309 3 030 931 0.2 21 300
PAN PACIFIC INTERNATIONAL HOLDINGS 7532 3 004 924 0.2 107 800
TOYOTA TSUSHO CORP 8015 2 969 962 0.2 180 500
LY CORP 4689 2 915 601 0.1 815 600
JAPAN EXCHANGE GROUP INC 8697 2 917 821 0.1 277 900
JAMES HARDIE INDUSTRIES CDI PLC JHX 2 913 327 0.1 121 060
HANG SENG BANK LTD 0011.HK 2 889 862 0.1 213 200
SUBARU CORP 7270 2 854 943 0.1 164 700
T&D HOLDINGS INC 8795 2 826 056 0.1 137 300
HONG KONG AND CHINA GAS LTD 0003.HK 2 820 486 0.1 3 178 525
GRAB HOLDINGS LTD CLASS A GRAB 2 774 427 0.1 651 274
IHI CORP 7013 2 752 673 0.1 39 000
OBIC LTD 4684 2 726 562 0.1 91 200
CAPITALAND INTEGRATED COMMERCIAL T C38U 2 714 198 0.1 1 665 417
WISETECH GLOBAL LTD WTC 2 688 454 0.1 51 621
TORAY INDUSTRIES INC 3402 2 644 684 0.1 392 800
SYSMEX CORP 6869 2 626 762 0.1 141 700
UNICHARM CORP 8113 2 611 805 0.1 319 200
EVOLUTION MINING LTD EVN 2 524 841 0.1 559 705
WEST JAPAN RAILWAY 9021 2 510 810 0.1 126 200
KAWASAKI HEAVY INDUSTRIES LTD 7012 2 504 597 0.1 43 400
OBAYASHI CORP 1802 2 483 222 0.1 184 400
CAPCOM LTD 9697 2 439 440 0.1 97 200
SOUTH32 LTD S32 2 434 966 0.1 1 286 752
POWER ASSETS HOLDINGS LTD 0006.HK 2 413 035 0.1 390 500
GALAXY ENTERTAINMENT GROUP LTD 0027.HK 2 411 720 0.1 622 000
ASAHI KASEI CORP 3407 2 423 779 0.1 350 400
FUJIKURA LTD 5803 2 408 410 0.1 71 600
DAIWA SECURITIES GROUP INC 8601 2 410 309 0.1 377 700
TREND MICRO INC 4704 2 401 518 0.1 35 800
RAKUTEN GROUP INC 4755 2 374 396 0.1 420 200
KAJIMA CORP 1812 2 367 144 0.1 112 800
OSAKA GAS LTD 9532 2 355 856 0.1 103 200
SINGAPORE EXCHANGE LTD S68 2 346 168 0.1 237 200
NITORI HOLDINGS LTD 9843 2 309 237 0.1 22 800
SANRIO LTD 8136 2 272 300 0.1 50 500
CAR GROUP LTD CAR 2 257 731 0.1 108 198
SINGAPORE TECHNOLOGIES ENGINEERING S63 2 272 136 0.1 448 200
MEDIBANK PRIVATE LTD MPL 2 239 234 0.1 767 348
AUCKLAND INTERNATIONAL AIRPORT LTD AIA 2 245 971 0.1 480 689
CK ASSET HOLDINGS LTD 1113.HK 2 250 609 0.1 555 572
ASX LTD ASX 2 217 780 0.1 54 515
WH GROUP LTD 0288.HK 2 227 059 0.1 2 375 500
DAIFUKU LTD 6383 2 165 575 0.1 89 500
STOCKLAND STAPLED UNITS LTD SGP 2 155 122 0.1 675 138
REA GROUP LTD REA 2 163 570 0.1 15 000
MAKITA CORP 6586 2 142 320 0.1 67 600
CAPITALAND ASCENDAS REIT A17U 2 126 797 0.1 1 033 515
SINGAPORE AIRLINES LTD C6L 2 127 164 0.1 424 000
SONIC HEALTHCARE LTD SHL 2 129 998 0.1 128 825
KEPPEL LTD BN4 2 106 687 0.1 408 900
PRO MEDICUS LTD PME 2 113 211 0.1 16 360
RYOHIN KEIKAKU LTD 7453 2 097 790 0.1 71 400
TAISEI CORP 1801 2 095 100 0.1 47 000
SHISEIDO LTD 4911 2 090 031 0.1 112 600
NIPPON PAINT HOLDINGS LTD 4612 2 056 929 0.1 264 500
ISUZU MOTORS LTD 7202 2 062 034 0.1 160 800
YAMAHA MOTOR LTD 7272 2 047 081 0.1 263 700
JFE HOLDINGS INC 5411 1 998 620 0.1 165 200
SBI HOLDINGS INC 8473 1 998 659 0.1 77 000
EISAI LTD 4523 1 992 305 0.1 74 200
CHUBU ELECTRIC POWER INC 9502 1 996 605 0.1 179 300
THE LOTTERY CORPORATION LTD TLC 1 925 817 0.1 627 085
JARDINE MATHESON HOLDINGS LTD J36 1 921 500 0.1 45 000
APA GROUP UNITS APA 1 885 063 0.1 373 559
EBARA CORP 6361 1 865 628 0.1 128 500
TOPPAN HOLDINGS INC 7911 1 860 964 0.1 67 900
NIPPON BUILDING FUND REIT INC 8951 1 875 424 0.1 2 116
LASERTEC CORP 6920 1 856 932 0.1 22 200
JB HI-FI LTD JBH 1 848 836 0.1 30 817
KIKKOMAN CORP 2801 1 837 149 0.1 194 600
HANKYU HANSHIN HOLDINGS INC 9042 1 808 114 0.1 65 300
TOKYU CORP 9005 1 766 727 0.1 151 500
SEKISUI CHEMICAL LTD 4204 1 774 607 0.1 105 000
MITSUBISHI CHEMICAL GROUP CORP 4188 1 777 935 0.1 373 500
SGH LTD SGH 1 756 732 0.1 57 863
CONCORDIA FINANCIAL GROUP LTD 7186 1 740 921 0.1 288 800
MITSUBISHI HC CAPITAL INC 8593 1 730 860 0.1 251 100
IDEMITSU KOSAN LTD 5019 1 713 233 0.1 258 335
BLUESCOPE STEEL LTD BSL 1 716 781 0.1 122 979
AGC INC 5201 1 686 741 0.1 55 400
TIS INC 3626 1 667 906 0.1 59 600
SANWA HOLDINGS CORP 5929 1 669 921 0.1 52 500
TOHO (TOKYO) LTD 9602 1 655 812 0.1 31 900
SHIMADZU CORP 7701 1 661 870 0.1 67 100
DAITO TRUST CONSTRUCTION LTD 1878 1 656 925 0.1 16 200
BAYCURRENT INC 6532 1 635 122 0.1 38 000
AISIN CORP 7259 1 617 351 0.1 150 300
FUTU HOLDINGS ADR LTD FUTU 1 588 892 0.1 16 298
FUJI ELECTRIC LTD 6504 1 569 657 0.1 38 200
NISSAN MOTOR LTD 7201 1 555 087 0.1 625 800
DAI NIPPON PRINTING LTD 7912 1 562 811 0.1 110 200
GPT GROUP STAPLED UNITS GPT 1 548 293 0.1 546 074
VICINITY CENTRES VCX 1 557 202 0.1 1 095 970
INFRATIL LTD IFT 1 533 102 0.1 262 495
YASKAWA ELECTRIC CORP 6506 1 542 194 0.1 63 900
NIPPON SANSO HOLDINGS CORP 4091 1 533 505 0.1 48 600
TOYO SUISAN LTD 2875 1 515 739 0.1 25 600
SCREEN HOLDINGS LTD 7735 1 516 450 0.1 23 400
MEIJI HOLDINGS LTD 2269 1 500 717 0.1 66 400
MATSUKIYOKARA 3088 1 499 395 0.1 93 190
MINEBEA MITSUMI INC 6479 1 499 922 0.1 104 800
TECHNOLOGY ONE LTD TNE 1 476 370 0.1 82 844
WASHINGTON H SOUL PATTINSON & COMP SOL 1 482 758 0.1 66 643
ORICA LTD ORI 1 468 907 0.1 136 821
MIRVAC GROUP STAPLED UNITS MGR 1 475 277 0.1 1 087 057
RICOH LTD 7752 1 474 459 0.1 148 400
HKT TRUST AND HKT UNITS LTD 6823.HK 1 467 769 0.1 1 076 720
ZENSHO HOLDINGS LTD 7550 1 471 832 0.1 27 000
M3 INC 2413 1 429 523 0.1 126 500
SUMITOMO METAL MINING LTD 5713 1 436 339 0.1 69 400
OMRON CORP 6645 1 429 215 0.1 50 500
MTR CORPORATION CORP LTD 0066.HK 1 422 838 0.1 430 500
HONGKONG LAND HOLDINGS LTD H78 1 424 250 0.1 316 500
SEIBU HOLDINGS INC 9024 1 395 456 0.1 63 700
WILMAR INTERNATIONAL LTD F34 1 403 526 0.1 561 200
CHARTER HALL GROUP STAPLED UNITS CHC 1 387 712 0.1 132 000
SOJITZ CORP 2768 1 388 450 0.1 63 420
CHIBA BANK LTD 8331 1 395 365 0.1 163 000
YAKULT HONSHA LTD 2267 1 393 859 0.1 72 000
SANDS CHINA LTD 1928.HK 1 395 325 0.1 696 400
OTSUKA CORP 4768 1 385 823 0.1 63 300
ALS LTD ALQ 1 371 485 0.1 138 694
DEXUS STAPLED UNITS DXS 1 384 731 0.1 303 961
SEEK LTD SEK 1 380 884 0.1 100 757
MONOTARO LTD 3064 1 352 016 0.1 70 100
CAPITALAND INVESTMENT LTD 9CI 1 361 822 0.1 664 200
JAPAN REAL ESTATE INVESTMENT TRUST 8952 1 349 640 0.1 1 850
SHIMIZU CORP 1803 1 348 611 0.1 148 700
NEXTDC LTD NXT 1 329 565 0.1 183 369
KAWASAKI KISEN LTD 9107 1 320 837 0.1 104 400
SUMITOMO FORESTRY LTD 1911 1 293 773 0.1 44 800
NEXON LTD 3659 1 306 532 0.1 94 700
NITERRA LTD 5334 1 307 058 0.1 43 400
JAPAN METROPOLITAN FUND INVESTMENT 8953 1 293 769 0.1 1 989
WORLEY LTD WOR 1 292 847 0.1 143 400
SUNTORY BEVERAGE & FOOD LTD 2587 1 274 641 0.1 38 500
HULIC LTD 3003 1 269 824 0.1 130 100
SKYLARK HOLDINGS LTD 3197 1 271 086 0.1 63 800
SHIZUOKA FINANCIAL GROUP INC 5831 1 280 654 0.1 124 500
HIKARI TSUSHIN INC 9435 1 273 764 0.1 5 000
MISUMI GROUP INC 9962 1 286 554 0.1 79 200
TREASURY WINE ESTATES LTD TWE 1 288 198 0.1 225 901
ISETAN MITSUKOSHI HOLDINGS LTD 3099 1 288 140 0.1 95 900
YANGZIJIANG SHIPBUILDING (HOLDINGS BS6 1 262 137 0.1 743 600
SEMBCORP INDUSTRIES LTD U96 1 267 321 0.1 254 900
YOKOGAWA ELECTRIC CORP 6841 1 237 088 0.1 63 800
MERIDIAN ENERGY LTD MEL 1 239 717 0.1 367 872
SEIKO EPSON CORP 6724 1 239 456 0.1 81 400
KOBE STEEL LTD 5406 1 240 809 0.1 107 800
TOKYO ELECTRIC POWER HOLDINGS INC 9501 1 243 829 0.1 436 000
WHARF REAL ESTATE INVESTMENT COMPA 1997.HK 1 220 020 0.1 487 000
FUKUOKA FINANCIAL GROUP INC 8354 1 221 649 0.1 50 232
DENTSU GROUP INC 4324 1 204 187 0.1 54 900
KDX REALTY INVESTMENT CORP 8972 1 209 243 0.1 1 198
QUBE HOLDINGS LTD QUB 1 204 818 0.1 484 859
RAMSAY HEALTH CARE LTD RHC 1 194 869 0.1 55 287
HOSHIZAKI CORP 6465 1 175 403 0.1 31 200
CONTACT ENERGY LTD CEN 1 175 872 0.1 221 730
NISSIN FOODS HOLDINGS LTD 2897 1 181 228 0.1 57 600
HENDERSON LAND DEVELOPMENT LTD 0012.HK 1 172 086 0.1 405 970
AGL ENERGY LTD AGL 1 171 998 0.1 172 071
ZOZO INC 3092 1 158 524 0.1 116 200
ONO PHARMACEUTICAL LTD 4528 1 153 956 0.1 107 100
ORACLE JAPAN CORP 4716 1 156 227 0.1 10 800
BROTHER INDUSTRIES LTD 6448 1 140 410 0.1 64 800
MEBUKI FINANCIAL GROUP INC 7167 1 149 439 0.1 250 290
QANTAS AIRWAYS LTD QAN 1 139 592 0.1 208 459
KINTETSU GROUP HOLDINGS LTD 9041 1 114 724 0.1 52 500
TELIX PHARMACEUTICALS LTD TLX 1 118 151 0.1 68 686
NISSAN CHEMICAL CORP 4021 1 096 251 0.1 37 700
JAPAN POST INSURANCE LTD 7181 1 111 671 0.1 54 000
TOKYU FUDOSAN HOLDINGS CORP 3289 1 102 502 0.1 162 900
SINO LAND LTD 0083.HK 1 102 565 0.1 1 088 000
KOBE BUSSAN LTD 3038 1 079 316 0.1 43 700
GLP J-REIT REIT 3281 1 085 870 0.1 1 303
SCSK CORP 9719 1 090 575 0.1 43 300
BENDIGO AND ADELAIDE BANK LTD BEN 1 085 983 0.1 162 019
STEADFAST GROUP LTD SDF 1 079 923 0.1 296 316
CHEUNG KONG INFRASTRUCTURE HOLDING 1038.HK 1 076 325 0.1 174 000
SQUARE ENIX HLDG LTD 9684 1 067 796 0.1 22 500
LYNAS RARE EARTHS LTD LYC 1 067 863 0.1 237 058
ENDEAVOUR GROUP LTD EDV 1 061 337 0.1 429 319
CLEANAWAY WASTE MANAGEMENT LTD CWY 1 053 086 0.1 638 150
DAIWA HOUSE REIT CORP 8984 1 064 890 0.1 661
NIPPON EXPRESS HOLDINGS INC 9147 1 065 135 0.1 58 500
RAKUTEN BANK LTD 5838 1 066 771 0.1 27 300
MITSUI CHEMICALS INC 4183 1 055 024 0.1 49 100
NOMURA REAL ESTATE MASTER FUND REI 3462 1 063 297 0.1 1 103
USS LTD 4732 1 048 462 0.1 112 700
TOTO LTD 5332 1 049 480 0.1 40 400
EBOS GROUP LTD EBO 1 039 673 0.1 45 679
AMPOL LTD ALD 1 013 709 0.1 68 079
TOKYO METRO LTD 9023 1 029 672 0.1 82 100
MAZDA MOTOR CORP 7261 1 029 459 0.1 171 500
SWIRE PACIFIC LTD A 0019.HK 1 013 815 0.1 114 500
AZBIL CORP 6845 1 002 348 0.1 130 800
CASH COLLATERAL JPY SGAFT SGAFT 997 648 0.1 145 093 000
AURIZON HOLDINGS LTD AZJ 999 123 0.1 507 480
YAMATO HOLDINGS LTD 9064 994 174 0.1 74 300
MAPLETREE LOGISTICS TRUST UNITS M44U 1 002 546 0.1 996 187
KYOWA KIRIN LTD 4151 1 005 572 0.1 69 000
TOSOH CORP 4042 1 008 866 0.1 73 898
SUMITOMO CHEMICAL LTD 4005 1 007 172 0.1 428 800
OJI HOLDINGS CORP 3861 1 001 865 0.1 237 500
NIPPON PROLOGIS REIT INC 3283 1 005 060 0.1 626
FOOD & LIFE COMPANIES LTD 3563 981 593 0.0 31 500
KYOTO FINANCIAL GROUP INC 5844 982 916 0.0 65 800
KEISEI ELECTRIC RAILWAY LTD 9009 984 281 0.0 108 900
KYUSHU RAILWAY 9142 977 622 0.0 38 500
KYUSHU ELECTRIC POWER INC 9508 979 894 0.0 114 100
HUB24 LTD HUB 985 997 0.0 23 985
MCDONALDS HOLDINGS (JAPAN) LTD 2702 960 759 0.0 24 600
RESONAC HOLDINGS 4004 965 558 0.0 49 100
MAPLETREE INDUSTRIAL UNITS TRUST ME8U 936 398 0.0 588 120
IBIDEN LTD 4062 937 138 0.0 34 400
HIROSE ELECTRIC LTD 6806 949 826 0.0 8 400
NOMURA REAL ESTATE HOLDINGS INC 3231 937 251 0.0 160 100
KURARAY LTD 3405 950 647 0.0 78 600
OPEN HOUSE GROUP LTD 3288 954 294 0.0 22 700
SITC INTERNATIONAL HOLDINGS LTD 1308.HK 932 357 0.0 384 000
KURITA WATER INDUSTRIES LTD 6370 918 476 0.0 29 300
SAPPORO HOLDINGS LTD 2501 916 667 0.0 18 300
GENTING SINGAPORE LTD G13 926 713 0.0 1 690 300
TOBU RAILWAY LTD 9001 921 974 0.0 53 400
ASAHI INTECC LTD 7747 923 065 0.0 60 200
ATLAS ARTERIA STAPLED UNITS ALX 932 816 0.0 301 244
SEATRIUM 5E2 929 770 0.0 618 995
LIXIL CORP 5938 917 494 0.0 78 700
LION CORP 4912 930 498 0.0 79 000
CYBER AGENT INC 4751 928 769 0.0 118 800
SANTEN PHARMACEUTICAL LTD 4536 922 680 0.0 94 600
HASEKO CORP 1808 900 412 0.0 67 000
MARUI GROUP LTD 8252 910 847 0.0 49 300
TOKYO TATEMONO LTD 8804 895 513 0.0 52 200
INVINCIBLE INVESTMENT REIT CORP 8963 913 397 0.0 2 160
ODAKYU ELECTRIC RAILWAY LTD 9007 913 652 0.0 89 000
TOHOKU ELECTRIC POWER INC 9506 898 109 0.0 132 700
DYNO NOBEL LTD DNL 899 544 0.0 553 657
SG HOLDINGS LTD 9143 882 425 0.0 85 500
ANA HOLDINGS INC 9202 883 083 0.0 47 200
TAIHEIYO CEMENT CORP 5233 889 312 0.0 33 300
ROHM LTD 6963 880 438 0.0 95 700
ORIX JREIT REIT INC 8954 869 467 0.0 710
UNITED URBAN INVESTMENT REIT CORP 8960 865 759 0.0 863
KEPPEL DC REIT AJBU 860 022 0.0 537 615
AMADA LTD 6113 859 395 0.0 90 800
HAMAMATSU PHOTONICS 6965 837 545 0.0 85 300
MEDIPAL HOLDINGS CORP 7459 847 317 0.0 53 300
CREDIT SAISON LTD 8253 847 126 0.0 36 700
YAMAHA CORP 7951 826 700 0.0 109 700
SEGA SAMMY HOLDINGS INC 6460 827 388 0.0 42 400
PCCW LTD 0008.HK 808 621 0.0 1 278 000
NH FOODS LTD 2282 810 497 0.0 23 300
ROHTO PHARMACEUTICAL LTD 4527 807 187 0.0 53 300
NGK INSULATORS LTD 5333 798 888 0.0 65 200
SHIMAMURA LTD 8227 813 604 0.0 12 600
NIKON CORP 7731 779 417 0.0 77 800
DE GREY MINING LTD DEG 795 593 0.0 583 493
NOF CORP 4403 780 605 0.0 58 100
J.FRONT RETAILING LTD 3086 793 993 0.0 67 000
PERSOL HOLDINGS LTD 2181 794 295 0.0 465 800
USD CASH 788 661 0.0 788 662
NICHIREI CORP 2871 772 474 0.0 63 400
BANK OF QUEENSLAND LTD BOQ 769 313 0.0 178 350
PERSEUS MINING LTD PRU 772 926 0.0 367 606
SANDFIRE RESOURCES LTD SFR 772 006 0.0 126 875
SIGMA HEALTHCARE LTD SIG 774 680 0.0 420 710
THK LTD 6481 754 821 0.0 31 500
WHITEHAVEN COAL LTD WHC 752 538 0.0 243 025
PILBARA MINERALS LTD PLS 751 540 0.0 821 975
ANSELL LTD ANN 757 330 0.0 40 512
GUNMA BANK LTD 8334 743 212 0.0 92 900
YOKOHAMA RUBBER LTD 5101 738 450 0.0 34 700
HITACHI CONSTRUCTION MACHINERY LTD 6305 753 325 0.0 28 900
IYOGIN HOLDINGS INC 5830 738 560 0.0 66 100
KINDEN CORP 1944 743 298 0.0 32 600
WHARF (HOLDINGS) LTD 0004.HK 742 724 0.0 305 898
KEIO CORP 9008 732 719 0.0 28 700
ELECTRIC POWER DEVELOPMENT LTD 9513 727 599 0.0 41 400
SANKYO LTD 6417 719 854 0.0 50 200
ADVANCE RESIDENCE INVESTMENT REIT 3269 732 904 0.0 748
SOHGO SECURITY SERVICES LTD 2331 726 324 0.0 97 000
ESR CAYMAN LTD 1821.HK 701 520 0.0 443 492
COSMO ENERGY HOLDINGS LTD 5021 704 644 0.0 16 800
DMG MORI LTD 6141 708 405 0.0 38 300
KOKUSAI ELECTRIC CORP 6525 716 436 0.0 45 500
COMSYS HOLDINGS CORP 1721 685 172 0.0 32 000
NISSHIN SEIFUN GROUP INC 2002 684 105 0.0 58 200
IIDA GROUP HOLDINGS LTD 3291 682 531 0.0 44 000
MITSUBISHI GAS CHEMICAL INC 4182 687 761 0.0 44 200
TECHNOPRO HOLDINGS INC 6028 684 388 0.0 31 300
KOITO MANUFACTURING LTD 7276 687 690 0.0 57 200
BIPROGY INC 8056 695 605 0.0 22 200
JAPAN AIRLINES LTD 9201 694 448 0.0 40 700
LENDLEASE GROUP STAPLED UNITS LLC 691 950 0.0 185 010
VENTURE CORPORATION LTD V03 690 510 0.0 76 300
DOWNER EDI LTD DOW 674 748 0.0 192 898
KEIKYU CORP 9006 660 875 0.0 63 400
MINERAL RESOURCES LTD MIN 660 154 0.0 49 268
COMFORTDELGRO CORPORATION LTD C52 667 917 0.0 600 900
MERCURY NZ LTD MCY 677 793 0.0 201 827
JAPAN HOTEL INVESTMENT REIT CORP 8985 660 963 0.0 1 352
ALFRESA HOLDINGS CORP 2784 664 503 0.0 46 800
FUJITEC LTD 6406 673 135 0.0 17 100
YAMAZAKI BAKING LTD 2212 666 041 0.0 34 800
GENESIS MINERALS LTD GMD 661 782 0.0 280 719
SUMCO CORP 3436 677 836 0.0 101 400
HACHIJUNI BANK LTD 8359 658 471 0.0 98 900
SEKISUI HOUSE REIT INC 3309 639 615 0.0 1 185
KADOKAWA CORP 9468 654 587 0.0 25 000
KEIHAN HOLDINGS LTD 9045 644 287 0.0 29 100
MAPLETREE PAN ASIA COMMERCIAL TRUS N2IU 649 445 0.0 680 895
SUMITOMO HEAVY INDUSTRIES LTD 6302 643 111 0.0 31 700
AIR WATER INC 4088 640 126 0.0 50 500
GMO PAYMENT GATEWAY INC 3769 649 032 0.0 12 000
TSURUHA HOLDINGS INC 3391 648 112 0.0 10 200
COCA-COLA BOTTLERS JAPAN HOLDINGS 2579 623 880 0.0 38 825
STANLEY ELECTRIC LTD 6923 624 924 0.0 33 900
AUB GROUP LTD AUB 622 651 0.0 32 651
RELIANCE WORLDWIDE CORPORATION LTD RWC 626 680 0.0 231 428
SPARK NEW ZEALAND LTD SPK 625 426 0.0 517 316
VENTIA SERVICES GROUP LTD VNT 636 145 0.0 241 749
FURUKAWA ELECTRIC LTD 5801 627 615 0.0 19 600
SUZUKEN LTD 9987 612 744 0.0 18 500
TOKYO SEIMITSU LTD 7729 603 629 0.0 11 600
FRASERS CENTREPOINT UNITS TRUST J69U 609 252 0.0 367 068
NIB HOLDINGS LTD NHF 615 253 0.0 139 947
NAGOYA RAILROAD LTD 9048 615 345 0.0 51 700
NHK SPRING LTD 5991 605 460 0.0 56 700
HORIBA LTD 6856 608 009 0.0 9 400
TOYO SEIKAN GROUP HOLDINGS LTD 5901 604 213 0.0 36 500
METCASH LTD 600 754 0.0 295 573
RINNAI CORP 5947 609 014 0.0 26 400
SOCIONEXT INC 6526 586 849 0.0 51 000
UOL GROUP LTD U14 589 072 0.0 135 000
TAKASHIMAYA LTD 8233 600 144 0.0 78 000
ZENKOKU HOSHO LTD 7164 596 654 0.0 28 800
NIHON KOHDEN CORP 6849 599 807 0.0 45 900
YAMATO KOGYO LTD 5444 581 295 0.0 10 700
JAPAN STEEL WORKS LTD 5631 581 276 0.0 17 200
KANSAI PAINT LTD 4613 581 059 0.0 39 600
TOKYO OHKA KOGYO LTD 4186 581 315 0.0 28 200
COSMOS PHARMACEUTICAL CORP 3349 583 979 0.0 11 000
EXEO GROUP INC 1951 588 095 0.0 52 200
FLETCHER BUILDING LTD FBU 579 998 0.0 305 558
GOLD ROAD RESOURCES LTD GOR 564 547 0.0 301 378
TOPCON CORP 7732 574 949 0.0 25 800
REECE LTD REH 565 982 0.0 60 635
CASH COLLATERAL AUD SGAFT SGAFT 570 249 0.0 895 000
JAPAN PRIME REALTY INVESTMENT REIT 8955 568 924 0.0 243
FRASERS LOGISTICS & COMMERCIAL TRU BUOU 564 218 0.0 816 583
MITSUI FUDOSAN LOGISTICS PARK REIT 3471 569 464 0.0 820
YAMAGUCHI FINANCIAL GROUP INC 8418 569 442 0.0 52 800
TAIYO YUDEN LTD 6976 579 187 0.0 35 700
MITSUBISHI MATERIALS CORP 5711 575 362 0.0 35 600
KEWPIE CORP 2809 568 153 0.0 29 100
ASMPT LTD 0522.HK 568 520 0.0 82 400
NIFCO INC 7988 569 099 0.0 23 500
SUGI HOLDINGS LTD 7649 546 015 0.0 28 300
SATS LTD S58 555 272 0.0 251 478
REGIS RESOURCES LTD RRL 557 103 0.0 219 140
CHALLENGER LTD CGF 548 820 0.0 146 991
BREVILLE GROUP LTD BRG 560 394 0.0 29 269
SUNDRUG LTD 9989 548 409 0.0 18 900
TOYO TIRE CORP 5105 551 064 0.0 32 000
DAICEL CORP 4202 548 568 0.0 64 600
INTERNET INITIATIVE JAPAN INC 3774 543 094 0.0 29 800
INDUSTRIAL & INFRASTRUCTURE FUND I 3249 545 178 0.0 680
KAKAKU.COM INC 2371 548 737 0.0 35 900
KAMIGUMI LTD 9364 533 373 0.0 22 400
PINNACLE INVESTMENT MANAGEMENT GRO PNI 521 640 0.0 47 990
NETWEALTH GROUP LTD NWL 531 673 0.0 34 798
CAPRICORN METALS LTD DEF CMM 537 658 0.0 104 826
NETLINK NBN TRUST UNITS CJLU 534 534 0.0 799 700
CITY DEVELOPMENTS LTD C09 525 027 0.0 141 800
AMP LTD AMP 538 344 0.0 713 017
TOHO GAS LTD 9533 540 906 0.0 19 300
KOBAYASHI PHARMACEUTICAL LTD 4967 538 137 0.0 14 400
SANKYU INC 9065 530 623 0.0 12 800
TOMY LTD 7867 529 993 0.0 23 400
HIROGIN HOLDINGS INC 7337 532 406 0.0 70 200
NIPPON ELECTRIC GLASS LTD 5214 528 746 0.0 22 900
DEXERIALS CORP 4980 539 053 0.0 45 900
THE UNITED LABORATORIES INTERNATIO 3933.HK 522 280 0.0 286 000
ABC MART INC 2670 532 915 0.0 27 700
KANDENKO LTD 1942 538 515 0.0 28 900
SUNTEC REIT UNITS TRUST T82U 517 671 0.0 574 400
HARVEY NORMAN HOLDINGS LTD HVN 505 863 0.0 162 030
CHUGOKU ELECTRIC POWER INC 9504 504 864 0.0 89 000
NIKKON HOLDINGS LTD 9072 511 326 0.0 27 200
JAPAN LOGISTICS FUND REIT INC 8967 502 075 0.0 786
77 BANK LTD 8341 516 024 0.0 17 700
IWATANI CORP 8088 520 340 0.0 53 500
ALPS ALPINE LTD 6770 511 021 0.0 53 124
PARK24 LTD 4666 506 197 0.0 37 200
NIPPON ACCOMMODATIONS FUND REIT IN 3226 509 643 0.0 680
DENA LTD 2432 512 677 0.0 21 700
MAKINO MILLING MACHINE LTD 6135 506 377 0.0 6 500
NABTESCO CORP 6268 484 540 0.0 31 700
WESTGOLD RESOURCES LTD WGX 489 008 0.0 266 491
RAMELIUS RESOURCES LTD RMS 497 812 0.0 322 856
NATIONAL STORAGE REIT STAPLED UNIT NSR 499 104 0.0 354 452
CAPITALAND ASCOTT STAPLED UNIT TRU HMN 495 123 0.0 757 766
JAPAN AIRPORT TERMINAL LTD 9706 487 451 0.0 17 500
NANKAI ELECTRIC RAILWAY LTD 9044 496 786 0.0 29 800
MITSUBISHI MOTORS CORP 7211 483 094 0.0 180 800
MIURA LTD 6005 496 011 0.0 25 000
SUMITOMO RUBBER INDUSTRIES LTD 5110 494 560 0.0 44 800
TSUMURA 4540 484 587 0.0 16 800
SUMITOMO BAKELITE LTD 4203 493 407 0.0 22 100
LASALLE LOGIPORT REIT 3466 496 634 0.0 520
MACNICA HOLDINGS INC 3132 489 648 0.0 38 000
JGC HOLDINGS CORP 1963 491 733 0.0 63 400
TOHO HOLDINGS LTD 8129 474 233 0.0 15 700
WEST AFRICAN RESOURCES LTD WAF 466 949 0.0 313 193
VAULT MINERALS LTD VAU 472 974 0.0 1 687 109
REGION GROUP STAPLED UNITS LTD RGN 474 118 0.0 346 104
FLIGHT CENTRE TRAVEL GROUP LTD FLT 478 028 0.0 55 329
NIPPON GAS LTD 8174 475 817 0.0 30 900
HAKUHODO DY HOLDINGS INC 2433 465 920 0.0 62 800
CANON MARKETING JAPAN INC 8060 470 804 0.0 13 900
CHUGIN FINANCIAL GROUP INC 5832 467 144 0.0 44 800
NICHIAS CORP 5393 469 059 0.0 15 200
MARUWA (OWARIASAHI) LTD 5344 473 448 0.0 2 400
MERCARI INC 4385 477 804 0.0 30 700
JTEKT CORP 6473 453 976 0.0 63 000
SIMS LTD SGM 443 549 0.0 48 243
ORORA LTD ORA 442 878 0.0 380 873
IDP EDUCATION PTY LTDINARY IEL 443 044 0.0 75 912
MITSUBISHI LOGISTICS CORP 9301 458 204 0.0 68 700
SEINO HOLDINGS LTD 9076 455 203 0.0 29 100
KYUSHU FINANCIAL GROUP INC 7180 455 510 0.0 99 500
SHARP CORP 6753 444 732 0.0 73 600
EAGERS AUTOMOTIVE LTD APE 453 197 0.0 45 537
DOWA HOLDINGS LTD 5714 459 870 0.0 14 800
HANG LUNG PROPERTIES LTD 0101.HK 452 262 0.0 521 000
MITSUI MINING AND SMELTING LTD 5706 453 654 0.0 16 400
NISSUI CORP 1332 450 759 0.0 75 300
EZAKI GLICO LTD 2206 445 718 0.0 14 200
XINYI GLASS HOLDINGS LTD 0868.HK 448 337 0.0 451 000
TEIJIN LTD 3401 460 672 0.0 52 900
ZEON JAPAN CORP 4205 446 954 0.0 45 600
RESORT TRUST INC 4681 457 768 0.0 47 200
KOKUYO LTD 7984 430 321 0.0 22 500
KEPPEL REIT UNITS K71U 423 614 0.0 644 620
IGO LTD IGO 438 280 0.0 194 866
CHARTER HALL LONG WALE REIT STAPLE CLW 435 701 0.0 183 825
ARB CORPORATION LTD ARB 429 457 0.0 21 984
HOKUHOKU FINANCIAL GROUP INC 8377 425 689 0.0 26 300
AOZORA BANK LTD 8304 430 568 0.0 31 900
NAGASE LTD 8012 423 776 0.0 24 000
MABUCHI MOTOR LTD 6592 438 567 0.0 28 500
AMANO CORP 6436 434 750 0.0 16 500
MARUICHI STEEL TUBE LTD 5463 423 605 0.0 18 200
SAWAI GROUP HOLDINGS LTD 4887 438 862 0.0 32 900
ACTIVIA PROPERTIES REIT INC 3279 434 699 0.0 189
KAGOME LTD 2811 437 319 0.0 21 800
NS SOLUTIONS CORP 2327 434 049 0.0 16 700
BANK OF EAST ASIA LTD 0023.HK 432 917 0.0 290 200
NISHI-NIPPON FINANCIAL HOLDINGS IN 7189 418 380 0.0 32 400
PARKWAY LIFE REIT TRUST C2PU 414 307 0.0 129 800
YOSHINOYA HOLDINGS LTD 9861 411 680 0.0 20 200
NSD LTD 9759 413 223 0.0 18 300
NTT UD REIT INVESTMENT REIT CORP 8956 415 560 0.0 461
AEON MALL LTD 8905 406 057 0.0 25 400
TOKYO CENTURY CORP 8439 413 713 0.0 41 900
YAOKO LTD 8279 406 800 0.0 6 500
MORINAGA MILK INDUSTRY LTD 2264 418 016 0.0 19 700
CASIO COMPUTER LTD 6952 404 039 0.0 51 500
NSK LTD 6471 417 905 0.0 99 100
INFRONEER HOLDINGS INC 5076 412 362 0.0 51 700
OBIC BUSINESS CONSULTANTS LTD 4733 420 435 0.0 8 600
DIC CORP 4631 421 396 0.0 21 500
KOEI TECMO HOLDINGS LTD 3635 404 162 0.0 27 772
TAKASAGO THERMAL ENGINEERING LTD 1969 420 985 0.0 11 000
JAPAN ELEVATOR SERVICE HOLDINGS LT 6544 406 889 0.0 20 800
KYORITSU MAINTENANCE LTD 9616 385 557 0.0 18 500
PIGEON CORP 7956 388 089 0.0 31 700
FUYO GENERAL LEASE LTD 8424 397 290 0.0 15 000
FRONTIER REAL ESTATE INVESTMENT TR 8964 402 757 0.0 750
YAMADA HOLDINGS LTD 9831 402 669 0.0 139 700
MEITEC GROUP HOLDINGS INC 9744 401 659 0.0 20 400
KOSE CORP 4922 393 140 0.0 9 300
FUJI SOFT INC 9749 390 138 0.0 5 788
INABA DENKISANGYO LTD 9934 390 413 0.0 15 400
ULVAC INC 6728 397 089 0.0 11 900
KOTOBUKI SPIRITS LTD 2222 402 396 0.0 25 500
KONICA MINOLTA INC 4902 384 529 0.0 124 000
ADEKA CORP 4401 392 918 0.0 22 600
SHIFT INC 3697 395 326 0.0 49 500
WELCIA HOLDINGS LTD 3141 393 519 0.0 26 700
CALBEE INC 2229 397 234 0.0 21 100
KYUDENKO CORP 1959 394 944 0.0 12 100
KERRY PROPERTIES LTD 0683.HK 383 916 0.0 160 500
FIRST PACIFIC LTD 0142.HK 386 463 0.0 630 000
TOEI ANIMATION LTD 4816 394 334 0.0 18 500
GOLDEN AGRI RESOURCES LTD E5H 373 646 0.0 1 913 500
HANWA LTD 8078 366 184 0.0 11 200
SENKO GROUP HOLDINGS LTD 9069 372 692 0.0 36 500
SHIKOKU ELECTRIC POWER INC 9507 377 026 0.0 49 600
BEACH ENERGY LTD BPT 383 465 0.0 431 430
BWP TRUST BWP 383 240 0.0 171 365
PERPETUAL LTD PPT 376 951 0.0 31 945
EMERALD RESOURCES EMR 365 856 0.0 149 145
HOMECO DAILY NEEDS UNITS HDN 378 800 0.0 487 314
INSIGNIA FINANCIAL LTD IFL 378 270 0.0 143 058
INGENIA COMMUNITIES GROUP STAPLED INA 374 204 0.0 107 566
TOKAI CARBON LTD 5301 373 557 0.0 59 800
YANGZIJIANG FINANCIAL HOLDING LTD YF8 366 362 0.0 625 400
SWCC CORP 5805 367 916 0.0 9 100
JEOL LTD 6951 368 986 0.0 12 100
PEPTIDREAM INC 4587 370 852 0.0 26 800
AEON REIT INVESTMENT REIT CORP 3292 366 951 0.0 429
SHO-BOND HOLDINGS LTD 1414 366 530 0.0 11 400
TODA CORP 1860 371 851 0.0 63 400
DAIWABO HOLDINGS LTD 3107 379 160 0.0 22 900
MORI HILLS INVESTMENT REIT CORP 3234 379 793 0.0 421
COMFORIA RESIDENTIAL REIT INC 3282 368 733 0.0 201
HAZAMA ANDO CORP 1719 371 123 0.0 40 400
HULIC REIT INC 3295 381 236 0.0 388
NIPPON SHOKUBAI LTD 4114 369 889 0.0 31 700
VISIONAL INC 4194 370 684 0.0 7 300
NIPPON KAYAKU LTD 4272 366 173 0.0 39 000
HISAMITSU PHARMACEUTICAL INC 4530 380 198 0.0 13 900
WACOAL HOLDINGS CORP 3591 371 761 0.0 10 700
KEPPEL INFRA UNIT TRUST A7RU 347 229 0.0 1 087 849
KS HOLDINGS CORP 8282 356 493 0.0 39 100
SURUGA BANK LTD 8358 350 287 0.0 39 800
DAIWA SECURITIES LIVING INVESTMENT 8986 348 249 0.0 571
GMO INTERNET GROUP INC 9449 345 286 0.0 16 400
NINE ENTERTAINMENT CO HOLDINGS LTD NEC 350 708 0.0 368 183
GOODMAN PROPERTY TRUST UNITS GMT 347 163 0.0 310 395
ESR-REAL ESTATE INVESTMENT TRUST J91U 351 362 0.0 1 871 356
PREMIER INVESTMENTS LTD PMV 350 573 0.0 27 803
YANCOAL AUSTRALIA LTD YAL 360 294 0.0 114 238
COLOWIDE LTD 7616 348 994 0.0 28 700
NIPRO CORP 8086 351 623 0.0 38 800
NIHON M&A CENTER HOLDINGS INC 2127 354 885 0.0 92 100
DAISHI HOKUETSU FINANCIAL GROUP IN 7327 356 695 0.0 18 000
MITSUBISHI ESTATE LOGISTICS REIT C 3481 347 421 0.0 444
SBI SUMISHIN NET BANK LTD 7163 360 573 0.0 13 800
PENTA-OCEAN CONSTRUCTION LTD 1893 357 444 0.0 74 000
MORINAGA LTD 2201 349 651 0.0 20 300
TORIDOLL HOLDINGS CORP 3397 345 839 0.0 12 900
TAKARA HOLDINGS INC 2531 362 312 0.0 45 800
TOKUYAMA CORP 4043 356 394 0.0 19 600
UBE CORP 4208 353 513 0.0 24 500
NIPPON SHINYAKU LTD 4516 352 006 0.0 14 300
ROUND ONE CORP 4680 363 081 0.0 57 900
HARMONIC DRIVE SYSTEMS INC 6324 359 438 0.0 17 000
CHAMPION IRON LTD CIA 329 846 0.0 113 778
SOTETSU HOLDINGS INC 9003 329 512 0.0 22 300
MITSUI-SOKO HOLDINGS LTD 9302 332 189 0.0 6 100
SKY PERFECT JSAT HOLDINGS INC 9412 336 471 0.0 41 400
DAISEKI LTD 9793 343 262 0.0 13 640
BRICKWORKS LTD BKW 334 533 0.0 21 413
CODAN LTD CDA 329 325 0.0 33 585
RYMAN HEALTHCARE LTD RYM 340 968 0.0 221 977
SAN IN GODO BANK LTD 8381 337 366 0.0 41 900
CHARTER HALL RETAIL UNITS CQR 336 649 0.0 146 769
HMC CAPITAL LTD HMC 325 935 0.0 85 401
NEW HOPE CORPORATION LTD NHC 334 776 0.0 145 548
PALADIN ENERGY LTD PDN 329 657 0.0 112 477
SUPER RETAIL GROUP LTD SUL 337 451 0.0 41 152
ACOM LTD 8572 334 767 0.0 131 800
DENKA CO LTD 4061 327 611 0.0 23 500
KANEMATSU CORP 8020 335 264 0.0 20 500
RAKUS LTD 3923 342 905 0.0 25 900
ANRITSU CORP 6754 344 029 0.0 37 200
YUE YUEN INDUSTRIAL (HOLDINGS) LTD 0551.HK 340 884 0.0 222 000
MIRAIT ONE CORP 1417 331 178 0.0 22 800
JAPAN PETROLEUM EXPLORATION LTD 1662 341 932 0.0 44 600
TOYOTA BOSHOKU CORP 3116 336 294 0.0 25 500
HANG LUNG GROUP LTD 0010.HK 337 473 0.0 231 000
AICA KOGYO LTD 4206 339 216 0.0 14 900
MODEC INC 6269 337 222 0.0 12 200
ORGANO CORP 6368 331 350 0.0 7 900
JVCKENWOOD CORP 6632 341 093 0.0 43 900
GS YUASA CORP 6674 341 449 0.0 21 400
TAIYO HOLDINGS LTD 4626 327 146 0.0 9 700
HAFNIA LTD HAFNI 322 359 0.0 79 626
TOKYU REIT INC 8957 324 425 0.0 274
JAPAN EXCELLENT REIT INC 8987 318 231 0.0 365
CENTURIA INDUSTR UNITS CIP 313 423 0.0 169 043
CORPORATE TRAVEL MANAGEMENT LTD CTD 309 540 0.0 34 776
DOMINOS PIZZA ENTERPRISES LTD DMP 315 087 0.0 19 378
MESOBLAST LTD MSB 309 629 0.0 259 179
MELCO RESORTS ENTERTAINMENT ADR LT MLCO 318 151 0.0 59 803
MEGAPORT LTD MP1 309 154 0.0 48 570
VIVA ENERGY GROUP LTD VEA 311 056 0.0 293 213
ZIP CO LTD ZIP 323 195 0.0 340 437
SHIGA BANK LTD 8366 309 100 0.0 9 100
SEVEN BANK LTD 8410 306 885 0.0 167 600
WEB TRAVEL GROUP LTD WEB 311 118 0.0 108 270
H2O RETAILING CORP 8242 307 733 0.0 22 200
KUSURI NO AOKI HOLDINGS LTD 3549 318 727 0.0 13 800
HKD CASH 313 150 0.0 2 435 027
WYNN MACAU LTD 1128.HK 312 062 0.0 438 800
PACIFIC BASIN SHIPPING LTD 2343.HK 323 610 0.0 1 463 000
ITO EN LTD 2593 317 026 0.0 14 600
SHIP HEALTHCARE HOLDINGS INC 3360 310 791 0.0 22 600
HYSAN DEVELOPMENT LTD 0014.HK 317 349 0.0 194 000
MONEY FORWARD INC 3994 315 618 0.0 11 800
NOK CORP 7240 322 025 0.0 22 500
FREEE KK 4478 313 762 0.0 12 800
GOLDWIN INC 8111 322 636 0.0 5 900
TAKEUCHI MFG LTD 6432 313 868 0.0 9 500
UACJ CORP 5741 322 267 0.0 10 200
KANADEVIA CORP 7004 290 656 0.0 48 700
MONADELPHOUS GROUP LTD MND 286 968 0.0 29 114
AUSTAL LTD ASB 292 502 0.0 107 765
TOEI LTD 9605 300 897 0.0 8 700
SUMITOMO WAREHOUSE LTD 9303 292 549 0.0 15 700
DAIWA OFFICE INVESTMENT REIT CORP 8976 297 964 0.0 148
MORI TRUST REIT INC 8961 289 421 0.0 680
RELO GROUP INC 8876 303 902 0.0 24 500
HYAKUGO BANK LTD 8368 296 550 0.0 63 800
INABATA LTD 8098 302 485 0.0 14 400
CITIZEN WATCH LTD 7762 301 353 0.0 52 300
NAKANISHI INC 7716 296 335 0.0 20 800
NIPPON TELEVISION HOLDINGS INC 9404 286 786 0.0 13 300
MITSUI E&S LTD 7003 286 786 0.0 26 600
FUJITSU GENERAL LTD 6755 286 768 0.0 15 100
STAR ASIA INVESTMENT REIT CORP 3468 292 818 0.0 796
SANKEN ELECTRIC LTD 6707 287 518 0.0 5 700
VTECH HOLDINGS LTD 0303.HK 303 903 0.0 43 600
MEGMILK SNOW BRAND LTD 2270 286 582 0.0 16 300
BIC CAMERA INC 3048 291 789 0.0 27 700
DCM HOLDINGS LTD 3050 293 978 0.0 31 600
RENGO LTD 3941 293 277 0.0 56 300
KANEKA CORP 4118 290 198 0.0 11 500
DUSKIN LTD 4665 296 544 0.0 12 000
DENTSU SOKEN INC 4812 299 749 0.0 7 100
FUJI CORP 6134 289 113 0.0 20 800
DETERRA ROYALTIES LTD DRR 281 654 0.0 124 522
MIZUNO CORP 8022 266 230 0.0 15 600
THE KIYO BANK LTD 8370 278 753 0.0 18 900
TBS HOLDINGS INC 9401 282 057 0.0 9 500
HOKURIKU ELECTRIC POWER 9505 283 121 0.0 51 800
AS ONE CORP 7476 279 432 0.0 17 700
ILUKA RESOURCES LTD ILU 277 355 0.0 118 290
JUDO CAPITAL HOLDINGS LTD JDO 272 226 0.0 241 388
SHENG SIONG GROUP LTD OV8 277 870 0.0 225 600
PEXA GROUP LTD PXA 269 397 0.0 37 517
SPARTAN RESOURCES LTD SPR 267 547 0.0 219 850
SAIZERIYA LTD 7581 273 936 0.0 9 600
PARAGON REIT SK6U 267 830 0.0 367 646
TOYODA GOSEI LTD 7282 283 589 0.0 15 700
CREATE RESTAURANTS HOLDINGS INC 3387 282 462 0.0 32 500
STELLA INTERNATIONAL LTD 1836.HK 284 702 0.0 147 000
NEW WORLD DEVELOPMENT COMPANY LTD 0017.HK 267 552 0.0 422 000
PAL GROUP HOLDINGS LTD 2726 276 405 0.0 12 200
HOUSE FOODS GROUP 2810 282 344 0.0 15 200
MEIDENSHA CORP 6508 267 181 0.0 9 900
FUJI MEDIA HOLDINGS INC 4676 270 178 0.0 13 100
ARE HOLDINGS INC 5857 279 258 0.0 21 000
OKUMA CORP 6103 282 270 0.0 13 200
RORZE CORP 6323 283 535 0.0 30 900
DAIDO STEEL LTD 5471 284 938 0.0 37 000
BELLEVUE GOLD LTD BGL 250 684 0.0 343 622
NOJIMA CORP 7419 264 914 0.0 15 700
IZUMI LTD 8273 246 600 0.0 11 400
GLOBAL ONE REAL ESTATE INVESTMENT 8958 253 287 0.0 322
HEIWA REAL ESTATE REIT INC 8966 262 092 0.0 303
BAPCOR LTD BAP 262 857 0.0 90 472
LOVISA HOLDINGS LTD LOV 254 095 0.0 17 309
IRESS LTD IRE 263 984 0.0 51 661
NUFARM LTD NUF 253 138 0.0 100 075
TABCORP HOLDINGS LTD TAH 249 897 0.0 659 179
WAYPOINT REIT STAPLED UNIT LTD WPR 264 508 0.0 171 547
TSUBAKIMOTO CHAIN 6371 249 010 0.0 20 600
USHIO INC 6925 251 604 0.0 20 100
AEON FINANCIAL SERVICES LTD 8570 265 423 0.0 30 600
TAKUMA LTD 6013 259 615 0.0 21 200
NISSHIN OILLIO GROUP LTD 2602 262 044 0.0 8 100
JOHNSON ELECTRIC HOLDINGS LTD 0179.HK 250 315 0.0 133 500
POLA ORBIS HOLDINGS INC 4927 251 015 0.0 28 700
VITASOY INTERNATIONAL HOLDINGS LTD 0345.HK 253 480 0.0 194 000
CTF SERVICES LTD 0659.HK 257 197 0.0 277 000
SANKI ENGINEERING LTD 1961 264 860 0.0 12 000
MIXI INC 2121 252 638 0.0 11 500
OKUMURA CORP 1833 261 457 0.0 9 000
SERIA LTD 2782 257 731 0.0 15 200
NIPPON REIT INVESTMENT REIT CORP 3296 246 127 0.0 436
VOBILE GROUP LTD 3738.HK 246 484 0.0 484 000
NIPPON SODA LTD 4041 251 774 0.0 13 200
HU GROUP HOLDINGS INC 4544 263 660 0.0 14 300
DFI RETAIL GROUP HOLDINGS LTD D01 227 520 0.0 96 000
MONEX GROUP INC 8698 231 913 0.0 48 600
HOKKAIDO ELECTRIC POWER INC 9509 239 061 0.0 48 900
AIN HOLDINGS INC 9627 245 550 0.0 7 300
DTS CORP 9682 239 179 0.0 9 000
AEON DELIGHT LTD 9787 244 604 0.0 6 600
ARCS LTD 9948 231 237 0.0 11 800
ARENA REIT STAPLED UNITS ARF 236 784 0.0 106 180
BEGA CHEESE LTD BGA 228 597 0.0 67 951
KIWI PROPERTY GROUP LTD KPG 234 906 0.0 451 914
ELDERS LTD ELD 242 644 0.0 57 614
GRAINCORP CLASS A LTD GNC 230 694 0.0 53 246
HELIA GROUP LTD HLI 235 582 0.0 87 617
IMDEX LTD IMD 228 555 0.0 124 123
KAROON ENERGY LTD KAR 227 483 0.0 229 603
NANOSONICS LTD NAN 245 918 0.0 80 746
NICK SCALI LTD NCK 228 230 0.0 23 110
TEMPLE & WEBSTER GROUP LTD TPW 229 557 0.0 22 392
MIZUHO LEASING LIMITED LTD 8425 234 019 0.0 33 400
JAPAN SECURITIES FINANCE LTD 8511 226 679 0.0 19 600
JAPAN AVIATION ELECTRONICS INDUSTR 6807 243 704 0.0 14 200
PALTAC CORP 8283 241 836 0.0 9 100
ARTIENCE LTD 4634 242 688 0.0 11 900
SANGETSU CORP 8130 229 072 0.0 11 600
NISHIMATSU CONSTRUCTION LTD 1820 245 133 0.0 7 700
DAI DAN LTD 1980 229 277 0.0 9 500
MAN WAH HOLDINGS LTD 1999.HK 232 716 0.0 422 800
FUJI OIL LTD 2607 240 097 0.0 11 700
SANSAN INC 4443 239 669 0.0 18 600
SUMITOMO PHARMA LTD 4506 238 207 0.0 56 700
KAKEN PHARMACEUTICAL LTD 4521 231 655 0.0 7 600
EDION CORP 2730 231 651 0.0 18 300
DIGITAL GARAGE INC 4819 245 253 0.0 7 900
EXEDY CORP 7278 239 983 0.0 8 400
DAIHEN CORP 6622 233 980 0.0 5 700
DAIICHIKOSHO LTD 7458 241 503 0.0 20 600
TS TECH LTD 7313 235 636 0.0 21 200
YONEX LTD 7906 233 817 0.0 15 100
TOKYO KIRABOSHI FINANCIAL GROUP IN 7173 226 988 0.0 6 300
LIFENET INSURANCE 7157 228 126 0.0 19 200
FINANCIAL PRODUCTS GROUP LTD 7148 232 744 0.0 15 700
BITDEER TECHNOLOGIES GROUP CLASS A BTDR 213 926 0.0 24 393
FP CORP 7947 219 871 0.0 11 400
LINTEC CORP 7966 212 816 0.0 11 400
NANTO BANK LTD 8367 213 909 0.0 8 500
HANKYU HANSHIN REIT INC 8977 207 943 0.0 209
NISHI NIPPON RAILROAD LTD 9031 210 113 0.0 14 600
HIS LTD 9603 211 030 0.0 18 400
KANAMOTO LTD 9678 207 542 0.0 9 800
IFAST CORPORATION LTD AIY 222 085 0.0 40 900
AMOTIV LTD AOV 217 794 0.0 38 888
FERROTEC HOLDINGS CORP 6890 220 249 0.0 13 000
CENTURIA CAPITAL STAPLED UNITS CNI 219 685 0.0 211 530
DOMAIN HOLDINGS AUSTRALIA LTD DHG 214 919 0.0 79 368
FIRST RESOURCES LTD EB5 214 314 0.0 174 000
INGHAMS GROUP LTD ING 221 129 0.0 110 178
MAGELLAN FINANCIAL GROUP LTD MFG 217 662 0.0 45 428
NEUREN PHARMACEUTICALS LTD NEU 210 357 0.0 31 235
HUTCHISON PORT HOLDINGS UNITS TRUS NS8U 207 082 0.0 1 262 700
NRW HOLDINGS LTD NWH 211 885 0.0 122 713
OLAM GROUP LTD VC2 220 536 0.0 309 100
JUROKU FINANCIAL GROUP INC 7380 223 625 0.0 7 400
TADANO LTD 6395 207 873 0.0 29 800
MEIKO ELECTRONICS LTD 6787 219 534 0.0 5 200
NIPPON PAPER INDUSTRIES LTD 3863 219 369 0.0 32 000
NTN CORP 6472 209 839 0.0 134 500
MARUHA NICHIRO CORP 1333 212 555 0.0 9 500
SAKATA SEED CORP 1377 221 432 0.0 9 700
COWELL E HOLDINGS INC 1415.HK 208 143 0.0 65 000
SUNEVISION HOLDINGS LTD 1686.HK 224 910 0.0 252 000
OPEN UP GROUP INC 2154 225 255 0.0 18 200
SAN-A LTD 2659 210 403 0.0 10 000
KOMEDA HOLDINGS LTD 3543 216 553 0.0 11 200
SEIREN LTD 3569 221 087 0.0 13 700
KUMAGAI LTD 1861 221 865 0.0 8 200
KUREHA CORP 4023 211 797 0.0 11 400
OSAKA SODA LTD 4046 213 943 0.0 20 100
NIHON PARKERIZING LTD 4095 215 666 0.0 26 900
ANYCOLOR INC 5032 208 783 0.0 9 300
YODOGAWA STEEL WORKS LTD 5451 225 654 0.0 6 100
SJM HLDGS LTD 0880.HK 216 515 0.0 690 000
CKD CORP 6407 208 509 0.0 15 300
HEIWA CORP 6412 223 493 0.0 14 200
TOAGOSEI LTD 4045 223 172 0.0 23 700
LIFE CORP 8194 204 366 0.0 15 400
FUKUOKA REIT CORP 8968 206 219 0.0 205
STARTS CORP INC 8850 191 590 0.0 7 200
NORTH PACIFIC BANK LTD 8524 205 774 0.0 65 200
AIFUL CORP 8515 197 531 0.0 84 000
FCC LTD 7296 204 243 0.0 10 100
ITOCHU ENEX LTD 8133 188 275 0.0 17 700
PILOT CORP 7846 193 096 0.0 6 900
TAMRON LTD 7740 201 430 0.0 9 000
MANI INC 7730 186 986 0.0 21 600
U-NEXT HOLDINGS LTD 9418 193 839 0.0 16 100
DAIEI KANKYO LTD 9336 201 514 0.0 10 400
SMARTGROUP CORPORATION LTD SIQ 194 903 0.0 41 619
OKINAWA CELLULAR TELEPHONE 9436 203 596 0.0 7 000
TKC CORP 9746 192 333 0.0 7 400
KATO SANGYO LTD 9869 188 097 0.0 5 600
CAPITALAND CHINA TRUST AU8U 191 704 0.0 369 935
COLLINS FOODS LTD CKF 200 722 0.0 36 169
CAPITALAND INDIA UNITS TRUST CY6U 196 527 0.0 272 580
EVT LTD EVT 188 435 0.0 22 628
HANSEN TECHNOLOGIES LTD HSN 188 699 0.0 58 185
IPH LTD IPH 191 757 0.0 67 179
ORA BANDA MINING LTD OBM 199 189 0.0 292 174
NAMURA SHIPBUILDING LTD 7014 197 521 0.0 14 200
BLK CSH FND TREASURY SL AGENCY XTSLA 190 000 0.0 190 000
HINO MOTORS LTD 7205 196 227 0.0 70 500
ROYAL HOLDINGS LTD 8179 193 604 0.0 11 200
TOKAI RIKA LTD 6995 198 187 0.0 13 400
NISSHINBO HOLDINGS INC 3105 204 260 0.0 33 900
FORTUNE REAL ESTATE INVESTMENT TRU 0778.HK 202 970 0.0 374 000
SINFONIA TECHNOLOGY LTD 6507 206 071 0.0 5 400
HKBN LTD 1310.HK 193 000 0.0 287 500
RAITO KOGYO LTD 1926 198 844 0.0 12 100
CHUDENKO CORP 1941 189 070 0.0 8 500
SUMITOMO DENSETSU LTD 1949 189 032 0.0 5 800
GNI GROUP LTD 2160 187 637 0.0 14 500
CARSGEN THERAPEUTICS LTD 2171.HK 197 283 0.0 104 500
ITOHAM YONEKYU HOLDINGS INC 2296 197 735 0.0 6 980
RIGAKU HOLDINGS CORP 268A 190 885 0.0 31 800
ARATA CORP 2733 196 486 0.0 9 400
JINS HOLDINGS INC 3046 198 769 0.0 4 400
TAIKISHA LTD 1979 204 544 0.0 13 400
NITTO BOSEKI LTD 3110 201 492 0.0 7 400
JUSTSYSTEMS CORP 4686 196 211 0.0 8 700
NIPPON LIGHT METAL HOLDINGS LTD 5703 189 054 0.0 18 910
TOKAI HOLDINGS CORP 3167 202 585 0.0 30 500
GLORY LTD 6457 202 352 0.0 11 600
TOKYO STEEL MANUFACTURING LTD 5423 200 320 0.0 18 300
GUNGHO ONLINE ENTERTAINMENT INC 3765 203 932 0.0 10 300
HOGY MEDICAL LTD 3593 189 493 0.0 6 200
KASUMIGASEKI CAPITAL LTD 3498 190 298 0.0 2 200
CRE LOGISTICS REIT INC 3487 193 527 0.0 196
METAPLANET KK INC 3350 202 691 0.0 75 200
HOSHINO RESORTS REIT INC 3287 191 483 0.0 138
ARCLANDS CORP 9842 182 709 0.0 16 423
AUTOBACS SEVEN LTD 9832 186 227 0.0 18 300
HEIWA REAL ESTATE LTD 8803 172 070 0.0 5 500
SHOCHIKU LTD 9601 183 642 0.0 2 200
MARUZEN SHOWA UNYU LTD 9068 175 920 0.0 4 300
KONOIKE TRANSPORT LTD 9025 170 409 0.0 9 700
ICHIGO OFFICE REIT INVESTMENT REIT 8975 183 364 0.0 313
RICOH LEASING LTD 8566 174 187 0.0 4 700
SENSHU IKEDA HOLDINGS INC 8714 178 780 0.0 64 200
TOKAI TOKYO FINANCIAL HOLDINGS INC 8616 177 387 0.0 55 600
OKASAN SECURITIES GROUP INC 8609 183 791 0.0 41 700
JAFCO GROUP LTD 8595 184 912 0.0 12 800
AWA BANK LTD 8388 177 412 0.0 9 700
AOYAMA TRADING LTD 8219 171 124 0.0 12 500
KOMERI LTD 8218 168 537 0.0 8 400
OHSHO FOOD SERVICE CORP 9936 186 640 0.0 8 700
YELLOW HAT LTD 9882 184 962 0.0 20 000
REGIS HEALTHCARE LTD REG 185 030 0.0 42 959
VALOR HOLDINGS LTD 9956 179 179 0.0 11 000
NICKEL INDUSTRIES LTD NIC 185 262 0.0 519 228
YAMAZEN CORP 8051 168 811 0.0 18 900
TUAS LTD TUA 177 698 0.0 52 622
SITEMINDER LTD SDR 185 111 0.0 69 505
SIA ENGINEERING LTD S59 177 361 0.0 105 900
RESOLUTE MINING LTD RSG 171 268 0.0 610 917
STARHILL GLOBAL REIT UNITS TRUST P40U 169 357 0.0 451 000
MA FINANCIAL GROUP LTD MAF 168 409 0.0 38 813
AIR NEW ZEALAND LTD AIR 177 726 0.0 486 881
MAC COPPER CDI LTD MAC 175 385 0.0 18 828
CDL HOSPITALITY REIT UNITS J85 177 336 0.0 287 955
G8 EDUCATION LTD GEM 170 404 0.0 208 131
CREDIT CORP GROUP LTD CCP 167 790 0.0 19 083
STARHUB LTD CC3 171 685 0.0 192 100
RAFFLES MEDICAL GROUP LTD BSL 181 476 0.0 250 400
KAGA ELECTRONICS LTD 8154 180 035 0.0 10 200
KISSEI PHARMACEUTICAL LTD 4547 178 626 0.0 6 900
SEIKO GROUP CORP 8050 172 293 0.0 6 500
FUJIMI INC 5384 169 312 0.0 13 500
MITSUBOSHI BELTING LTD 5192 181 393 0.0 7 400
SAKATA INX CORP 4633 175 102 0.0 14 000
CHUGOKU MARINE PAINTS LTD 4617 168 893 0.0 12 100
SIMPLEX HOLDINGS INC 4373 186 062 0.0 10 000
APPIER GROUP INC 4180 174 170 0.0 19 500
HOKUETSU CORP 3865 179 882 0.0 23 400
MIRAI REIT CORP 3476 169 184 0.0 581
JOYFUL HONDA LTD 3191 177 880 0.0 13 000
TOYOBO LTD 3101 171 540 0.0 27 000
MONOGATARI CORP 3097 182 401 0.0 8 100
DOUTOR NICHIRES HOLDINGS LTD 3087 169 763 0.0 10 400
OKAMURA CORP 7994 185 512 0.0 14 200
ICHIGO INC 2337 185 024 0.0 71 000
SYSTENA CORP 2317 179 054 0.0 75 700
DAH SING FINANCIAL HOLDINGS LTD 0440.HK 177 162 0.0 48 000
SUMITOMO OSAKA CEMENT LTD 5232 183 226 0.0 7 500
ARIAKE JAPAN LTD 2815 178 581 0.0 4 300
BUNKA SHUTTER LTD 5930 178 375 0.0 14 000
KYB CORP 7242 185 880 0.0 9 600
OSG CORP 6136 183 252 0.0 16 900
MITSUBISHI PENCIL LTD 7976 177 987 0.0 10 400
NORITSU KOKI LTD 7744 172 695 0.0 5 600
NISHIMATSUYA CHAIN LTD 7545 180 669 0.0 12 400
MITSUBISHI SHOKUHIN LTD 7451 183 050 0.0 5 400
HOKKOKU FINANCIAL HOLDINGS INC 7381 183 752 0.0 5 100
SHOEI LTD 7839 176 865 0.0 15 800
MUSASHI SEIMITSU INDUSTRY LTD 7220 185 476 0.0 11 800
YAMABIKO CORP 6250 171 039 0.0 11 200
MICRONICS JAPAN LTD 6871 171 891 0.0 7 800
NOHMI BOSAI LTD 6744 174 603 0.0 8 100
SUN CORP 6736 181 070 0.0 3 800
SHIBAURA MECHATRONICS CORP 6590 184 652 0.0 4 100
FUKUDA DENSHI LTD 6960 181 538 0.0 4 300
FUKUYAMA TRANSPORTING LTD 9075 155 512 0.0 6 300
HAMAKYOREX LTD 9037 165 682 0.0 19 200
KATITAS LTD 8919 164 639 0.0 12 400
LEOPALACE21 CORP 8848 159 680 0.0 40 600
MATSUI SECURITIES LTD 8628 166 158 0.0 32 700
OGAKI KYORITSU BANK LTD 8361 164 782 0.0 10 800
JACCS LTD 8584 149 750 0.0 5 800
KEIYO BANK LTD 8544 157 811 0.0 28 300
HEIWADO LTD 8276 154 037 0.0 8 700
MOS FOOD SERVICES INC 8153 155 296 0.0 6 300
YUASA TRADING LTD 8074 160 710 0.0 5 300
NOMURA LTD 9716 158 140 0.0 25 900
NISHIO HOLDINGS LTD 9699 159 837 0.0 5 900
HEALIUS LTD HLS 154 664 0.0 172 159
FUNAI SOKEN HOLDINGS INC 9757 155 908 0.0 10 200
PARAMOUNT BED HOLDINGS LTD 7817 150 045 0.0 9 100
TRUSCO NAKAYAMA CORP 9830 164 142 0.0 12 800
BELC LTD 9974 159 074 0.0 3 500
BOSS ENERGY LTD BOE 149 215 0.0 104 550
CHARTER HALL SOCIAL INFRASTRUCTURE CQE 151 744 0.0 86 604
DATA#3 LTD DTL 165 658 0.0 36 775
LENDLEASE GLOBAL COMMERCIAL REIT U JYEU 166 228 0.0 417 611
LIFESTYLE COMMUNITIES LTD LIC 155 333 0.0 32 506
MACQUARIE TECHNOLOGY GROUP LTD MAQ 157 105 0.0 3 997
AIMS APAC REIT O5RU 152 720 0.0 158 865
PERENTI LTD PRN 158 517 0.0 189 917
SINGAPORE POST LTD S08 148 749 0.0 330 100
FUJI SEAL INTERNATIONAL INC 7864 154 398 0.0 9 000
C UYEMURA LTD 4966 150 555 0.0 2 300
MENICON LTD 7780 163 712 0.0 19 500
JAPAN MATERIAL LTD 6055 152 703 0.0 19 900
HIDAY HIDAKA CORP 7611 149 204 0.0 7 800
LUK FOOK HOLDINGS (INTERNATIONAL) 0590.HK 166 360 0.0 84 000
TRIAL HOLDINGS INC 141A 154 818 0.0 10 400
TOTETSU KOGYO LTD 1835 158 322 0.0 7 800
NIPPN CORP 2001 163 145 0.0 11 000
SMS LTD 2175 165 490 0.0 21 900
SOSILA LOGISTICS REIT INC 2979 161 886 0.0 216
TECHMATRIX CORP 3762 165 302 0.0 12 600
DAIO PAPER CORP 3880 166 116 0.0 29 900
KH NEOCHEM LTD 4189 152 673 0.0 9 100
TORII PHARMACEUTICAL LTD 4551 150 097 0.0 4 900
T HASEGAWA LTD 4958 163 788 0.0 8 700
UNITED SUPER MARKETS HOLDINGS INC 3222 149 031 0.0 26 400
SHIBAURA MACHINE LTD 6104 153 969 0.0 6 500
NISSAN SHATAI LTD 7222 160 055 0.0 24 400
GALILEI LTD 6420 153 982 0.0 8 400
IDOM INC 7599 165 865 0.0 20 600
ARGO GRAPHICS INC 7595 164 492 0.0 4 700
WORKMAN LTD 7564 154 997 0.0 5 100
KYOKUTO KAIHATSU KOGYO LTD 7226 156 220 0.0 10 000
AICHI FINANCIAL GROUP INC 7389 162 352 0.0 8 900
ZUKEN INC 6947 156 441 0.0 4 800
MCJ LTD 6670 150 654 0.0 16 700
TOSHIBA TEC CORP 6588 162 295 0.0 9 300
MORITA HOLDINGS CORP 6455 153 250 0.0 11 200
MAX LTD 6454 166 500 0.0 5 800
AXIAL RETAILING INC 8255 143 674 0.0 21 300
RIKEN KEIKI LTD 7734 146 117 0.0 8 600
WAKITA & COMPANY LTD 8125 140 522 0.0 12 100
SAN-AI OBBLI LTD 8097 135 990 0.0 11 900
SHIN ETSU POLYMER LTD 7970 128 170 0.0 12 900
ZOJIRUSHI CORP 7965 129 569 0.0 14 000
MAEDA KOSEN LTD 7821 144 542 0.0 11 400
MEGACHIPS CORP 6875 134 582 0.0 4 600
STAR MICRONICS LTD 7718 146 917 0.0 11 500
JAPAN LIFELINE LTD 7575 138 097 0.0 13 700
KOHNAN SHOJI LTD 7516 133 379 0.0 5 300
ATOM CORP 7412 135 586 0.0 31 500
MITSUI HIGH TEC INC 6966 135 765 0.0 30 900
BANK OF NAGOYA LTD 8522 134 960 0.0 2 800
TOHO BANK LTD 8346 134 891 0.0 57 700
MCMILLAN SHAKESPEARE LTD MMS 132 121 0.0 14 242
TOMONY HOLDINGS INC 8600 129 362 0.0 35 700
AZ-COM MARUWA HOLDINGS INC 9090 139 515 0.0 16 700
NIPPON KANZAI HOLDINGS LTD 9347 129 509 0.0 7 200
SUPER HI INTERNATIONAL HOLDING LTD 9658.HK 133 365 0.0 58 000
TRANSCOSMOS INC 9715 142 582 0.0 6 700
FUJITA KANKO INC 9722 131 976 0.0 2 100
ALPHA HPA LTD A4N 145 554 0.0 294 769
AUSSIE BROADBAND LTD ABB 145 196 0.0 58 432
FRASERS HOSPITALITY STAPLED UNITS ACV 143 097 0.0 325 700
DIGITAL CORE REIT UNITS DCRU 128 047 0.0 243 900
DICKER DATA LTD DDR 134 095 0.0 25 205
IPERIONX LTD IPX 130 674 0.0 80 114
LIONTOWN RESOURCES LTD LTR 139 902 0.0 448 114
WACOM LTD 6727 134 141 0.0 35 600
HOSIDEN CORP 6804 136 440 0.0 10 600
STANMORE RESOURCES LTD SMR 145 827 0.0 115 886
OKI ELECTRIC INDUSTRY LTD 6703 128 992 0.0 20 000
TOCALO LTD 3433 147 498 0.0 13 500
SGD CASH 138 980 0.0 185 052
IDEC CORP 6652 127 912 0.0 7 800
OSL GROUP LTD 0863.HK 145 862 0.0 115 500
CITIC TELECOM INTL HOLDINGS LTD 1883.HK 128 196 0.0 426 000
NIPPON DENSETSU KOGYO LTD 1950 141 115 0.0 10 100
KOSHIDAKA HOLDINGS LTD 2157 129 806 0.0 18 400
PRIMA MEAT PACKERS LTD 2281 135 833 0.0 9 000
DAH SING BANKING LTD 2356.HK 138 205 0.0 122 400
INFOMART CORP 2492 134 113 0.0 56 700
ADASTRIA LTD 2685 141 203 0.0 6 800
GUNZE LTD 3002 136 172 0.0 7 800
CREATE SD HOLDINGS LTD 3148 139 427 0.0 7 100
NEXTAGE LTD 3186 130 074 0.0 12 300
JAPAN WOOL TEXTILE LTD 3201 146 044 0.0 14 400
UNITED ENERGY GROUP LTD 0467.HK 140 750 0.0 2 516 000
SAKURA INTERNET INC 3778 133 874 0.0 5 500
KUMIAI CHEMICAL INDUSTRY LTD 4996 144 839 0.0 26 800
PRESTIGE INTERNATIONAL INC 4290 130 058 0.0 29 100
UMS INTEGRATION LTD 558 131 116 0.0 164 700
NORITAKE LTD 5331 144 518 0.0 6 200
SUMITOMO RIKO LTD 5191 136 308 0.0 12 000
NITTA CORP 5186 145 164 0.0 5 800
TOWA CORP 6315 147 123 0.0 16 100
EARTH CORP 4985 135 421 0.0 3 900
MILBON LTD 4919 129 817 0.0 6 400
NXERA PHARMA LTD 4565 134 157 0.0 23 200
TRI CHEMICAL LABORATORIES INC 4369 140 970 0.0 8 500
KONISHI LTD 4956 145 680 0.0 18 700
FUSO CHEMICAL LTD 4368 132 275 0.0 5 700
MAXELL LTD 6810 125 713 0.0 10 400
ICHIBANYA LTD 7630 112 248 0.0 17 900
AISAN INDUSTRY LTD 7283 117 188 0.0 8 700
SHINMAYWA INDUSTRIES LTD 7224 125 306 0.0 13 600
MITSUBISHI LOGISNEXT LTD 7105 115 862 0.0 8 400
NITTO KOGYO CORP 6651 123 972 0.0 6 000
ELECOM LTD 6750 118 672 0.0 10 700
EIZO CORP 6737 121 076 0.0 8 800
SINKO KOGYO LTD 6458 117 955 0.0 14 700
SHIBUYA KOGYO CORP 6340 124 027 0.0 5 800
NOMURA MICRO SCIENCE LTD 6254 109 162 0.0 7 200
ITOKI CORP 7972 111 757 0.0 10 300
ZACROS CORP 7917 115 013 0.0 4 300
TOKYOTOKEIBA LTD 9672 122 735 0.0 4 200
TAKARA STANDARD LTD 7981 122 434 0.0 10 100
MUSASHINO BANK LTD 8336 117 168 0.0 5 800
SAKAI MOVING SERVICE LTD 9039 114 319 0.0 6 800
IINO KAIUN LTD 9119 110 342 0.0 17 200
GENKY DRUGSTORES LTD 9267 117 234 0.0 6 200
METAWATER LTD 9551 110 578 0.0 8 600
ACCENT GROUP LTD AX1 127 243 0.0 110 641
DEEP YELLOW LTD DYL 123 927 0.0 212 572
GROWTHPOINT PROPERTIES AUSTRALIA R GOZ 110 038 0.0 75 417
NUIX LTD NXL 110 700 0.0 59 298
POLYNOVO LTD PNV 118 998 0.0 169 788
FAR EAST HOSPITALITY TRUST REIT Q5T 123 481 0.0 293 600
VULCAN ENERGY RESOURCES LTD VUL 113 596 0.0 39 708
TSUGAMI CORP 6101 113 584 0.0 9 700
PIOLAX INC 5988 123 442 0.0 8 300
TOPRE CORP 5975 127 144 0.0 10 400
DIP CORP 2379 124 467 0.0 8 400
YOKOGAWA BRIDGE HOLDINGS CORP 5911 125 880 0.0 7 500
NZD CASH 118 381 0.0 202 691
PAX GLOBAL TECHNOLOGY LTD 0327.HK 125 368 0.0 201 000
VSTECS HOLDINGS LTD 0856.HK 120 217 0.0 152 000
TAMA HOME LTD 1419 125 320 0.0 5 200
RYOYO RYOSAN HOLDINGS INC 167A 123 261 0.0 7 596
ENVISION GREENWISE HOLDINGS LTD 1783.HK 123 311 0.0 126 000
MOBVISTA INC 1860.HK 127 604 0.0 157 000
YURTEC CORP 1934 110 208 0.0 9 900
TAIHEI DENGYO LTD 1968 112 380 0.0 3 600
SHOWA SANGYO LTD 2004 119 536 0.0 6 200
KAMEDA SEIKA LTD 2220 113 683 0.0 4 300
DIGITAL ARTS INC 2326 124 564 0.0 2 800
GUOTAI JUNAN INTERNATIONAL HOLDING 1788.HK 113 890 0.0 820 000
DYDO GROUP HOLDINGS INC 2590 111 146 0.0 5 800
ZERIA PHARMACEUTICAL LTD 4559 126 371 0.0 8 100
TOKYO ELECTRON DEVICE LTD 2760 127 095 0.0 6 300
MITANI SEKISAN LTD 5273 116 478 0.0 2 800
COVER CORP 5253 119 641 0.0 7 500
NOEVIR HOLDINGS LTD 4928 110 214 0.0 3 900
KYORIN PHARMACEUTICAL LTD 4569 109 198 0.0 10 900
TOYO TANSO LTD 5310 110 461 0.0 4 200
EIKEN CHEMICAL LTD 4549 116 531 0.0 7 700
WINGARC1ST INC 4432 116 423 0.0 5 100
PKSHA TECHNOLOGY INC 3993 109 855 0.0 5 600
TAKARA LEBEN REAL ESTATE REIT CORP 3492 120 680 0.0 206
RESTAR CORP 3156 116 689 0.0 7 700
PACIFIC INDUSTRIAL LTD 7250 108 213 0.0 12 200
TOSEI CORPORATION CORP 8923 95 798 0.0 6 100
FUJI (EHIME) LTD 8278 90 261 0.0 6 100
MITSUUROKO GROUP HOLDINGS LTD 8131 88 732 0.0 7 600
CENTRAL AUTOMOTIVE PRODUCTS LTD 8117 99 508 0.0 9 000
ONWARD HOLDINGS LTD 8016 103 801 0.0 29 200
NICHIHA CORP 7943 99 290 0.0 4 900
SANYO DENKI LTD 6516 107 800 0.0 1 800
HIOKI EE CORP 6866 93 237 0.0 2 000
NS UNITED KAIUN KAISHA LTD 9110 93 072 0.0 3 600
KITZ CORP 6498 93 284 0.0 12 300
PILLAR CORP 6490 94 433 0.0 4 200
RISO KAGAKU CORP 6413 106 817 0.0 13 000
AICHI CORP 6345 92 774 0.0 10 700
FUJI KYUKO LTD 9010 92 107 0.0 6 100
SILEX SYSTEMS LTD SLX 99 373 0.0 44 947
GENDA INC 9166 101 501 0.0 11 800
M&A CAPITAL PARTNERS LTD 6080 100 253 0.0 5 300
TRE HOLDINGS CORP 9247 101 445 0.0 9 700
NAGAWA LTD 9663 96 262 0.0 2 500
SENSHU ELECTRIC LTD 9824 89 772 0.0 3 200
TOTECH CORP 9960 101 917 0.0 6 400
RIVERSTONE HOLDINGS LTD AP4 90 728 0.0 130 600
ABACUS STORAGE KING UNITS ASK 91 089 0.0 121 672
CROMWELL PROPERTY GROUP STAPLED UN CMW 100 958 0.0 434 118
STONEWEG EUROPEAN REAL ESTATE INVE CWBU 99 541 0.0 58 900
JUMBO INTERACTIVE LTD JIN 103 794 0.0 15 694
OBJECTIVE CORPORATION LTD OCL 88 633 0.0 9 274
PWR HOLDINGS LTD PWH 107 044 0.0 24 743
REDOX LTD RDX 97 005 0.0 53 421
WA1 RESOURCES LTD WA1 94 626 0.0 11 433
BELLSYSTEM24 HOLDINGS INC 6183 96 190 0.0 11 300
KURA SUSHI INC 2695 100 505 0.0 4 700
KEEPER TECHNICAL LABORATORY LTD 6036 94 805 0.0 3 600
TSUBURAYA FIELDS HOLDINGS INC 2767 101 307 0.0 8 400
NORITZ CORP 5943 97 247 0.0 8 300
MELCO INTERNATIONAL DEVELOPMENT LT 0200.HK 107 377 0.0 213 000
CAFE DE CORAL HOLDINGS LTD 0341.HK 88 735 0.0 92 000
KERRY LOGISTICS NETWORK LTD 0636.HK 92 769 0.0 108 151
REALORD GROUP HOLDINGS LTD 1196.HK 99 306 0.0 108 000
NITTETSU MINING LTD 1515 106 934 0.0 2 400
TIME INTERCONNECT TECHNOLOGY LTD 1729.HK 100 464 0.0 168 000
TOYO CONSTRUCTION LTD 1890 106 955 0.0 12 200
JAC RECRUITMENT LTD 2124 95 878 0.0 17 900
PASONA GROUP INC 2168 104 310 0.0 7 200
S FOODS INC 2292 98 065 0.0 5 800
SBS HOLDINGS INC 2384 102 664 0.0 5 400
LIFEDRINK COMPANY INC 2585 99 871 0.0 9 600
ASKUL CORP 2678 100 333 0.0 9 500
JS GLOBAL LIFESTYLE LTD 1691.HK 93 910 0.0 390 500
DAIKOKUTEN BUSSAN LTD 2791 91 979 0.0 2 100
TOWA PHARMACEUTICAL LTD 4553 104 949 0.0 5 900
AI HOLDINGS CORP 3076 106 683 0.0 7 700
OSAKA STEEL LTD 5449 100 622 0.0 5 400
JCU CORP 4975 95 905 0.0 4 400
TAKASAGO INTERNATIONAL CORP 4914 96 152 0.0 2 300
FUTURE CORP 4722 104 644 0.0 8 900
BML INC 4694 106 370 0.0 5 200
CYBOZU INC 4776 101 384 0.0 5 600
MOCHIDA PHARMACEUTICAL LTD 4534 106 576 0.0 5 000
JMDC INC 4483 107 408 0.0 6 000
MEDLEY INC 4480 107 614 0.0 5 300
SANYO CHEMICAL INDUSTRIES LTD 4471 95 785 0.0 3 700
CENTRAL GLASS LTD 4044 107 264 0.0 5 000
CHANGE HOLDINGS INC 3962 104 956 0.0 12 400
HAKUTO LTD 7433 81 995 0.0 3 000
ABACUS GROUP UNIT ABG 86 975 0.0 121 881
MATSUDA SANGYO LTD 7456 82 181 0.0 3 600
FURUYA METAL LTD 7826 77 787 0.0 4 500
NISSHA LTD 7915 80 528 0.0 9 100
MIRAI INDUSTRY LTD 7931 80 860 0.0 3 200
EGUARANTEE INC 8771 84 782 0.0 6 900
GOLDCREST LTD 8871 73 690 0.0 3 600
SUN FRONTIER FUDOUSAN LTD 8934 78 674 0.0 6 000
IMPERIAL HOTEL LTD 9708 79 689 0.0 13 200
KELSIAN GROUP LTD KLS 80 081 0.0 47 429
CENTURIA OFFICE REIT UNITS COF 86 117 0.0 118 044
SASSEUR REIT UNITS TRUST CRPU 87 656 0.0 174 200
CLARITY PHARMACEUTICALS LTD CU6 74 653 0.0 61 830
DEXUS INDUSTRIA REIT STAPLED UNIT DXI 77 204 0.0 46 073
GUZMAN Y GOMEZ LTD GYG 88 362 0.0 4 342
JOHNS LYNG GROUP LTD JLG 85 461 0.0 62 972
SG FLEET GROUP LTD SGF 86 205 0.0 38 991
VULCAN STEEL LTD VSL 87 559 0.0 17 178
EAGLE INDUSTRY LTD 6486 74 456 0.0 5 800
NICHICON CORP 6996 86 006 0.0 10 700
MAAS GROUP HOLDINGS LTD MGH 70 287 0.0 30 141
RAIZNEXT CORP 6379 86 984 0.0 8 600
TIMEE INC 215A 83 691 0.0 8 400
CHIYODA CORPORATION CORP 6366 74 195 0.0 32 600
HUTCHISON TELECOMMUNICATIONS HONG 0215.HK 85 186 0.0 690 000
HAO TIAN INTERNATIONAL CONSTRUCTIO 1341.HK 81 122 0.0 760 000
TOKYU CONSTRUCTION LTD 1720 78 030 0.0 14 700
TOKEN CORP 1766 85 261 0.0 1 000
SHINNIHON CORP 1879 73 368 0.0 7 200
SHIN NIPPON AIR TECHNOLOGIES LTD 1952 72 472 0.0 6 200
MITSUI DM SUGAR LTD 2109 72 609 0.0 3 200
UT GROUP LTD 2146 85 120 0.0 6 300
TOA (TOKYO) CORP 1885 79 705 0.0 9 200
ITO EN PRF LTD 25935 86 218 0.0 6 800
EN JAPAN INC 4849 76 052 0.0 6 900
PLUS ALPHA CONSULTING LTD 4071 80 279 0.0 8 700
KROSAKI HARIMA CORP 5352 80 167 0.0 4 800
SHINAGAWA REFRACTORIES LTD 5351 84 029 0.0 7 600
TSURUMI MANUFACTURING LTD 6351 83 333 0.0 4 100
SEPTENI HOLDINGS LTD 4293 70 773 0.0 28 200
ASAHI YUKIZAI CORP 4216 82 407 0.0 3 400
ISE CHEMICALS CORP 4107 87 544 0.0 600
AIZAWA SECURITIES GROUP LTD 8708 53 945 0.0 5 600
NACHI-FUJIKOSHI CORP 6474 49 843 0.0 2 200
SANTEC HOLDINGS CORP 6777 53 219 0.0 1 800
DOSHISHA LTD 7483 58 747 0.0 4 000
AEON HOKKAIDO CORP 7512 58 543 0.0 10 100
CANON ELECTRONICS INC 7739 66 305 0.0 4 100
ROLAND CORP 7944 62 213 0.0 2 600
JAPAN PULP AND PAPER LTD 8032 64 138 0.0 16 000
AOKI HOLDINGS INC 8214 65 235 0.0 7 500
ORIENT CORP 8585 61 050 0.0 11 950
YANLORD LAND GROUP LTD Z25 62 549 0.0 177 200
ES CON JAPAN LTD 8892 56 495 0.0 8 200
TV ASAHI HOLDINGS CORP 9409 57 225 0.0 3 300
M&A RESEARCH INSTITUTE HOLDINGS IN 9552 63 712 0.0 8 200
MATSUYA FOODS HOLDINGS LTD 9887 65 575 0.0 1 700
NICHIDEN CORP 9902 54 715 0.0 2 900
CORONADO GLOBAL RESOURCES CDI INC CRN 54 280 0.0 288 791
HONG FOK CORPORATION LTD H30 68 037 0.0 119 200
MADER GROUP LTD MAD 57 941 0.0 15 056
REGAL PARTNERS LTD RPL 52 568 0.0 38 197
OPTORUN LTD 6235 61 320 0.0 6 100
OILES CORP 6282 57 639 0.0 3 800
DAIWA INDUSTRIES LTD 6459 56 449 0.0 5 300
INSOURCE LTD 6200 50 166 0.0 9 500
TOENEC CORP 1946 57 242 0.0 9 000
INTEGRAL CORP 5842 55 177 0.0 2 800
EUR CASH 51 205 0.0 46 055
NOK CASH 56 200 0.0 577 775
VIVA GOODS LTD 0933.HK 63 550 0.0 1 136 000
THEME INTERNATIONAL HOLDINGS LTD 0990.HK 56 424 0.0 1 170 000
HEALTH AND HAPPINESS (H&H) INTERNA 1112.HK 53 928 0.0 43 500
WEST HOLDINGS CORP 1407 54 216 0.0 5 000
K&O ENERGY GROUP INC 1663 67 745 0.0 3 500
NIPPON ROAD LTD 1884 62 949 0.0 5 000
TAKAMATSU CONSTRUCTION GROUP LTD 1762 54 177 0.0 2 900
ITOCHU SHOKUHIN LTD 2692 67 219 0.0 1 300
HALOWS LTD 2742 62 020 0.0 2 200
RS TECHNOLOGIES LTD 3445 62 546 0.0 3 500
MITSUBISHI RESEARCH INSTITUTE INC 3636 49 561 0.0 1 600
SHIKOKU KASEI HOLDINGS CORP 4099 61 542 0.0 5 100
RIKEN VITAMIN LTD 4526 60 651 0.0 3 700
TAKARA BIO INC 4974 57 468 0.0 10 500
OKAMOTO INDUSTRIES INC 5122 54 622 0.0 1 600
KYOEI STEEL LTD 5440 60 695 0.0 4 800
SANYO SPECIAL STEEL LTD 5481 67 749 0.0 3 600
MAXVALU TOKAI LTD 8198 48 268 0.0 2 400
LEO LITHIUM LTD LLL 40 384 0.0 292 832
BELLUNA LTD 9997 46 926 0.0 7 600
TOKAI (GIFU) CORP 9729 42 328 0.0 3 000
SHIZUOKA GAS LTD 9543 37 030 0.0 4 800
KEIHANSHIN BUILDING LTD 8818 40 062 0.0 4 300
SAMTY RESIDENTIAL INVESTMENT REIT 3459 33 001 0.0 52
GMO FINANCIAL HOLDINGS INC 7177 48 860 0.0 9 500
OBARA GROUP INC 6877 42 785 0.0 1 900
UNIVERSAL ENTERTAINMENT CORP 6425 36 041 0.0 5 300
UNION TOOL 6278 41 420 0.0 1 600
GREE HOLDINGS INC 3632 34 308 0.0 8 800
E-COMMODITIES HOLDINGS LTD 1733.HK 48 323 0.0 488 000
THE STAR ENTERTAINMENT GROUP LTD SGR 11 981 0.0 170 959
FIREFINCH LTD FFX 15 207 0.0 298 353
PHC HOLDINGS CORP 6523 26 467 0.0 3 900
ALPEN LTD 3028 27 305 0.0 1 700
CNH CASH 4 928 0.0 35 880
FRASERS CENTREPOINT TRUST DUMMY 2 381 0.0 19 821
SMARTONE TELECOMMUNICATIONS HOLDIN 0315.HK 8 591 0.0 15 500
HSIN CHONG GROUP HOLDINGS LTD 0404.HK 1 0.0 1 002 000
BRIGHTOIL PETROLEUM (HOLDINGS) LTD 0933.HK 0 0.0 763 800
TOPIX INDEX JUN 25 TPM5 0 0.0 90
SPI 200 JUN 25 XPM5 0 0.0 52