CyberBuzz,Inc. 7069Short Interest

Estimated short interest in CyberBuzz,Inc. (7069) is 1.13% of shares outstanding as of 2021-09-28. No institution currently holds 0.5% or more.

Growth Market(Domestic) Services IT & Services, Others
Estimated short interest
1.13%
▼0.55%
Estimated position (shares)
43,400
As of 2021-09-28
Short sellers
3 firms
55 reports

Short Interest Trend Last 5 years, by institution, % of shares outstanding

Estimated short interest, stacking the latest reported position of each short seller. The 4 largest current holders are shown in color and the rest are grouped as "Others". Hover over (or tap) a bar to see the breakdown.

  • Nomura International plc
  • Morgan Stanley MUFG Securities Co., Ltd.
  • GOLDMAN SACHS INTERNATIONAL
  • Credit Suisse AG
1.13%
Estimated short interest, 2021-09-28
GOLDMAN SACHS INTERNATIONAL0.23%
Morgan Stanley MUFG Securities Co., Ltd.0.41%
Nomura International plc0.49%

Current Positions by Short Seller Latest report of each holder

Last report Short seller Position (shares) Ratio Change Status
2020-09-16 Nomura International plc Position 18,700 shares Ratio 0.49% ▼0.15% Below 0.5%
2020-08-04 Morgan Stanley MUFG Securities Co., Ltd. Position 15,700 shares Ratio 0.41% ▼0.13% Below 0.5%
2020-07-02 GOLDMAN SACHS INTERNATIONAL Position 8,800 shares Ratio 0.23% ▼1.26% Below 0.5%
2021-09-28 Credit Suisse AG Position 200 shares Ratio 0.00% ▼0.55% Closed

Disclosure History 55 in total

Trade date Short seller Position (shares) Ratio Change Note
2021-09-28 Credit Suisse AG Position 200 shares Ratio 0.00% ▼0.55% Closed
2021-09-22 Credit Suisse AG Position 21,400 shares Ratio 0.55% ▲0.55% —
2020-09-16 Nomura International plc Position 18,700 shares Ratio 0.49% ▼0.15% Below 0.5%
2020-09-15 Nomura International plc Position 24,200 shares Ratio 0.64% ▼0.09% —
2020-09-14 Nomura International plc Position 27,800 shares Ratio 0.73% ▼0.11% —
2020-09-11 Nomura International plc Position 32,000 shares Ratio 0.84% ▼0.25% —
2020-09-09 Nomura International plc Position 41,200 shares Ratio 1.09% ▼0.13% —
2020-09-03 Nomura International plc Position 46,200 shares Ratio 1.22% ▲0.04% —
2020-09-01 Nomura International plc Position 44,700 shares Ratio 1.18% ▼0.02% —
2020-08-31 Nomura International plc Position 45,400 shares Ratio 1.20% ▲0.08% —
2020-08-27 Nomura International plc Position 42,600 shares Ratio 1.12% ▲0.03% —
2020-08-26 Nomura International plc Position 41,300 shares Ratio 1.09% ▼0.03% —
2020-08-19 Nomura International plc Position 42,000 shares Ratio 1.12% ▲0.15% —
2020-08-13 Nomura International plc Position 36,400 shares Ratio 0.97% ▼0.11% —
2020-08-04 Morgan Stanley MUFG Securities Co., Ltd. Position 15,700 shares Ratio 0.41% ▼0.13% Below 0.5%
2020-08-03 Morgan Stanley MUFG Securities Co., Ltd. Position 20,200 shares Ratio 0.54% ▼0.06% —
2020-07-29 Morgan Stanley MUFG Securities Co., Ltd. Position 22,700 shares Ratio 0.60% ▲0.09% —
2020-07-27 Morgan Stanley MUFG Securities Co., Ltd. Position 19,200 shares Ratio 0.51% ▲0.02% —
2020-07-22 Morgan Stanley MUFG Securities Co., Ltd. Position 18,400 shares Ratio 0.49% ▼0.01% Below 0.5%
2020-07-21 Morgan Stanley MUFG Securities Co., Ltd. Position 18,900 shares Ratio 0.50% ▲0.09% —
2020-07-20 Nomura International plc Position 40,700 shares Ratio 1.08% ▼0.04% —
2020-07-16 Nomura International plc Position 42,100 shares Ratio 1.12% ▲0.03% —
2020-07-13 Nomura International plc Position 40,900 shares Ratio 1.09% ▼0.01% —
2020-07-13 Morgan Stanley MUFG Securities Co., Ltd. Position 8,800 shares Ratio 0.23% ▼0.46% Below 0.5%
2020-07-10 Nomura International plc Position 41,200 shares Ratio 1.10% ▲0.01% —
2020-07-08 Morgan Stanley MUFG Securities Co., Ltd. Position 26,100 shares Ratio 0.69% ▼0.06% —
2020-07-07 Morgan Stanley MUFG Securities Co., Ltd. Position 28,300 shares Ratio 0.75% ▼0.07% —
2020-07-06 Nomura International plc Position 40,900 shares Ratio 1.09% ▼0.06% —
2020-07-06 Morgan Stanley MUFG Securities Co., Ltd. Position 30,900 shares Ratio 0.82% ▼0.10% —
2020-07-02 Nomura International plc Position 43,200 shares Ratio 1.15% ▲1.14% —

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