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Amundi Emmk Gbp (E127) Share Trades

Buy/Sell Volume Trade Prc Trade Type Trade Time
Buy* 759 £46.335 Automatic Execution
15:53:43 - 28-Nov-25
Buy* 105 £46.32 Automatic Execution
15:53:43 - 28-Nov-25
Buy* 118 £46.3435 Suspected BUY Trade
15:34:15 - 28-Nov-25
Sell* 2 £46.3165 Negotiated Trade
15:34:06 - 28-Nov-25
Buy* 885 £46.3385 Suspected BUY Trade
15:33:50 - 28-Nov-25
Sell* 235 £46.3165 Negotiated Trade
15:33:41 - 28-Nov-25
Buy* 93 £46.289 Suspected BUY Trade
15:17:23 - 28-Nov-25
Sell* 1 £46.281 Negotiated Trade
15:09:40 - 28-Nov-25
Buy* 105 £46.29 Automatic Execution
15:07:10 - 28-Nov-25
Buy* 30 £46.29 Automatic Execution
15:04:08 - 28-Nov-25
Sell* 7 £46.304 Negotiated Trade
15:03:29 - 28-Nov-25
Sell* 1 £46.24175 Negotiated Trade
14:59:56 - 28-Nov-25
Sell* 1,042 £46.235 Automatic Execution
12:39:44 - 28-Nov-25
Sell* 89 £46.2418 Negotiated Trade
12:39:31 - 28-Nov-25
Sell* 110 £46.235 Automatic Execution
12:39:19 - 28-Nov-25
Sell* 170 £46.235 Automatic Execution
12:39:19 - 28-Nov-25
Buy* 105 £46.235 Automatic Execution
12:39:19 - 28-Nov-25
Buy* 1,135 £46.2135 Suspected BUY Trade
12:27:40 - 28-Nov-25
Buy* 10 £46.205 Automatic Execution
12:07:07 - 28-Nov-25
Buy* 10 £46.205 Automatic Execution
12:07:07 - 28-Nov-25
Buy* 10 £46.205 Automatic Execution
12:07:07 - 28-Nov-25
Buy* 10 £46.205 Automatic Execution
12:07:07 - 28-Nov-25
Buy* 65 £46.205 Automatic Execution
12:06:06 - 28-Nov-25
Buy* 10 £46.205 Automatic Execution
12:06:06 - 28-Nov-25
Buy* 10 £46.205 Automatic Execution
12:06:06 - 28-Nov-25
Buy* 10 £46.205 Automatic Execution
12:06:06 - 28-Nov-25
Buy* 10 £46.205 Automatic Execution
12:06:06 - 28-Nov-25
Buy* 217 £46.15825 Suspected BUY Trade
10:49:56 - 28-Nov-25
Buy* 105 £46.135 Automatic Execution
10:34:43 - 28-Nov-25
Buy* 105 £46.145 Automatic Execution
10:32:52 - 28-Nov-25
Buy* 105 £46.14 Automatic Execution
10:28:50 - 28-Nov-25
Buy* 105 £46.14 Automatic Execution
10:28:49 - 28-Nov-25
Buy* 105 £46.14 Automatic Execution
10:28:48 - 28-Nov-25
Buy* 105 £46.135 Automatic Execution
10:28:47 - 28-Nov-25
Buy* 105 £46.14 Automatic Execution
10:28:46 - 28-Nov-25
Buy* 105 £46.135 Automatic Execution
10:26:34 - 28-Nov-25
Buy* 105 £46.13 Automatic Execution
10:26:25 - 28-Nov-25
Buy* 105 £46.12 Automatic Execution
10:26:20 - 28-Nov-25
Buy* 105 £46.155 Automatic Execution
10:13:18 - 28-Nov-25
Buy* 75 £46.10825 Suspected BUY Trade
09:24:47 - 28-Nov-25
Buy* 105 £46.075 Automatic Execution
09:18:15 - 28-Nov-25
Buy* 105 £46.07 Automatic Execution
09:17:54 - 28-Nov-25
Buy* 105 £46.07 Automatic Execution
09:17:52 - 28-Nov-25
Buy* 105 £46.07 Automatic Execution
09:17:26 - 28-Nov-25
Buy* 806 £46.115 Automatic Execution
15:51:56 - 27-Nov-25
Buy* 23 £46.11375 Suspected BUY Trade
15:37:53 - 27-Nov-25
Sell* 1 £46.09125 Negotiated Trade
15:37:44 - 27-Nov-25
Buy* 539 £46.11375 Suspected BUY Trade
15:37:35 - 27-Nov-25
Sell* 121 £46.09125 Negotiated Trade
15:37:26 - 27-Nov-25
Buy* 42 £46.1435 Suspected BUY Trade
15:08:09 - 27-Nov-25
Sell* 1 £46.12175 Negotiated Trade
15:00:28 - 27-Nov-25
Buy* 3 £46.15375 Suspected BUY Trade
14:58:38 - 27-Nov-25
Sell* 1 £46.141 Negotiated Trade
14:53:36 - 27-Nov-25
Sell* 106 £46.115 Automatic Execution
14:07:16 - 27-Nov-25
Sell* 106 £46.12 Automatic Execution
14:06:39 - 27-Nov-25
Sell* 106 £46.115 Automatic Execution
13:44:20 - 27-Nov-25
Sell* 106 £46.10 Automatic Execution
13:36:30 - 27-Nov-25
Sell* 106 £46.115 Automatic Execution
13:18:15 - 27-Nov-25
Sell* 106 £46.13 Automatic Execution
13:09:26 - 27-Nov-25
Sell* 106 £46.15 Automatic Execution
12:50:48 - 27-Nov-25
Sell* 106 £46.16 Automatic Execution
12:17:57 - 27-Nov-25
Unknown* 3,900 £46.1701 OTC Trade
12:01:33 - 27-Nov-25
Buy* 216 £46.19057 SI Trade
11:46:59 - 27-Nov-25
Sell* 106 £46.20 Automatic Execution
09:59:30 - 27-Nov-25
Sell* 106 £46.23 Automatic Execution
09:45:36 - 27-Nov-25
Sell* 106 £46.24 Automatic Execution
09:39:01 - 27-Nov-25
Buy* 20 £46.20 Automatic Execution
09:26:52 - 27-Nov-25
Buy* 10 £46.21 Automatic Execution
09:09:00 - 27-Nov-25
Sell* 106 £46.195 Automatic Execution
08:40:27 - 27-Nov-25
Sell* 106 £46.21 Automatic Execution
08:25:52 - 27-Nov-25
Sell* 106 £46.215 Automatic Execution
08:25:11 - 27-Nov-25
Sell* 106 £46.16 Automatic Execution
08:09:40 - 27-Nov-25
Sell* 106 £46.145 Automatic Execution
08:06:14 - 27-Nov-25
Sell* 106 £46.15 Automatic Execution
08:06:03 - 27-Nov-25
Sell* 106 £46.155 Automatic Execution
08:05:58 - 27-Nov-25
Buy* 86 £46.22256 SI Trade
16:10:56 - 26-Nov-25
Buy* 34 £46.1635 Suspected BUY Trade
15:25:43 - 26-Nov-25
Buy* 525 £46.15825 Suspected BUY Trade
15:25:27 - 26-Nov-25
Sell* 1 £46.12675 Negotiated Trade
15:25:27 - 26-Nov-25
Sell* 258 £46.11675 Negotiated Trade
15:25:11 - 26-Nov-25
Buy* 19 £46.10325 Suspected BUY Trade
15:19:21 - 26-Nov-25
Sell* 1 £46.1215 Negotiated Trade
15:12:20 - 26-Nov-25
Buy* 6 £46.15325 Suspected BUY Trade
15:10:36 - 26-Nov-25
Sell* 1 £46.13675 Negotiated Trade
15:02:48 - 26-Nov-25
Sell* 105 £46.255 Automatic Execution
14:42:29 - 26-Nov-25
Sell* 65 £46.265 Automatic Execution
14:42:25 - 26-Nov-25
Sell* 40 £46.265 Automatic Execution
14:42:24 - 26-Nov-25
Sell* 71 £46.275 Automatic Execution
14:42:16 - 26-Nov-25
Sell* 95 £46.315 Automatic Execution
14:37:18 - 26-Nov-25
Sell* 95 £46.345 Automatic Execution
14:36:32 - 26-Nov-25
Sell* 10 £46.345 Automatic Execution
14:36:31 - 26-Nov-25
Sell* 75 £46.35 Automatic Execution
14:36:24 - 26-Nov-25
Sell* 20 £46.35 Automatic Execution
14:36:24 - 26-Nov-25
Buy* 75 £46.18 Automatic Execution
13:25:10 - 26-Nov-25
Buy* 30 £46.18 Automatic Execution
13:25:10 - 26-Nov-25
Sell* 105 £46.37 Automatic Execution
12:12:53 - 26-Nov-25
Buy* 105 £46.23 Automatic Execution
11:42:32 - 26-Nov-25
Sell* 10 £46.205 Automatic Execution
11:42:16 - 26-Nov-25
Buy* 105 £46.195 Automatic Execution
09:00:23 - 26-Nov-25
Buy* 105 £46.195 Automatic Execution
09:00:19 - 26-Nov-25
Buy* 57 £46.23 Automatic Execution
08:55:16 - 26-Nov-25
Buy* 76 £46.225 Automatic Execution
08:54:54 - 26-Nov-25
Buy* 102 £46.225 Automatic Execution
08:54:50 - 26-Nov-25
Unknown* 9,645 £46.2333 OTC Trade
08:21:50 - 26-Nov-25
Sell* 74 £45.755 Automatic Execution
16:08:37 - 25-Nov-25
Sell* 107 £45.75 Automatic Execution
16:05:10 - 25-Nov-25
Buy* 384 £45.755 Automatic Execution
15:42:41 - 25-Nov-25
Buy* 107 £45.755 Automatic Execution
15:42:41 - 25-Nov-25
Buy* 231 £45.7285 Suspected BUY Trade
15:38:37 - 25-Nov-25
Sell* 16 £45.7065 Negotiated Trade
15:38:20 - 25-Nov-25
Buy* 548 £45.72375 Suspected BUY Trade
15:38:12 - 25-Nov-25
Sell* 299 £45.70175 Negotiated Trade
15:37:56 - 25-Nov-25
Sell* 18 £45.73 Automatic Execution
15:30:40 - 25-Nov-25
Buy* 25 £45.72325 Suspected BUY Trade
15:19:35 - 25-Nov-25
Buy* 9 £45.695 Automatic Execution
15:17:15 - 25-Nov-25
Sell* 107 £45.70 Automatic Execution
15:07:50 - 25-Nov-25
Sell* 107 £45.70 Automatic Execution
15:07:11 - 25-Nov-25
Buy* 9 £45.61 Automatic Execution
15:02:55 - 25-Nov-25
Buy* 90 £45.61 Automatic Execution
15:02:55 - 25-Nov-25
Buy* 85 £45.64 Automatic Execution
15:02:46 - 25-Nov-25
Buy* 27 £45.625 Automatic Execution
15:02:28 - 25-Nov-25
Buy* 107 £45.64 Automatic Execution
15:02:25 - 25-Nov-25
Buy* 2 £45.7035 Suspected BUY Trade
15:02:01 - 25-Nov-25
Sell* 73 £45.665 Automatic Execution
14:52:16 - 25-Nov-25
Sell* 107 £45.665 Automatic Execution
14:52:13 - 25-Nov-25
Buy* 107 £45.69 Automatic Execution
14:43:49 - 25-Nov-25
Buy* 1,500 £45.695 Automatic Execution
14:43:45 - 25-Nov-25
Buy* 1,500 £45.695 Automatic Execution
14:43:38 - 25-Nov-25
Buy* 107 £45.76 Automatic Execution
14:40:50 - 25-Nov-25
Sell* 107 £45.80 Automatic Execution
14:39:16 - 25-Nov-25
Sell* 107 £45.805 Automatic Execution
14:39:15 - 25-Nov-25
Sell* 107 £45.805 Automatic Execution
14:39:10 - 25-Nov-25
Sell* 107 £45.81 Automatic Execution
14:39:09 - 25-Nov-25
Sell* 107 £45.81 Automatic Execution
14:39:08 - 25-Nov-25
Buy* 45 £45.875 Automatic Execution
14:33:45 - 25-Nov-25
Buy* 26 £45.875 Automatic Execution
14:33:45 - 25-Nov-25
Buy* 36 £45.875 Automatic Execution
14:33:45 - 25-Nov-25
Buy* 9 £45.88 Automatic Execution
14:33:44 - 25-Nov-25
Buy* 27 £45.88 Automatic Execution
14:33:44 - 25-Nov-25
Sell* 107 £45.865 Automatic Execution
14:33:24 - 25-Nov-25
Sell* 17 £45.875 Automatic Execution
14:33:23 - 25-Nov-25
Sell* 90 £45.875 Automatic Execution
14:33:23 - 25-Nov-25
Buy* 54 £45.875 Automatic Execution
14:31:17 - 25-Nov-25
Buy* 17 £45.875 Automatic Execution
14:31:17 - 25-Nov-25
Buy* 36 £45.875 Automatic Execution
14:31:17 - 25-Nov-25
Sell* 107 £45.89 Automatic Execution
14:30:32 - 25-Nov-25
Sell* 9 £45.895 Automatic Execution
14:30:27 - 25-Nov-25
Sell* 90 £45.895 Automatic Execution
14:30:27 - 25-Nov-25
Sell* 107 £45.90 Automatic Execution
14:30:25 - 25-Nov-25
Sell* 107 £45.92 Automatic Execution
14:29:03 - 25-Nov-25
Buy* 107 £45.99 Automatic Execution
14:06:54 - 25-Nov-25
Buy* 8 £46.035 Automatic Execution
13:19:02 - 25-Nov-25
Buy* 36 £46.035 Automatic Execution
13:19:02 - 25-Nov-25
Buy* 27 £46.035 Automatic Execution
13:19:02 - 25-Nov-25
Buy* 36 £46.035 Automatic Execution
13:19:02 - 25-Nov-25
Buy* 32 £46.06618 SI Trade
12:44:30 - 25-Nov-25
Sell* 107 £46.06 Automatic Execution
12:44:17 - 25-Nov-25
Sell* 107 £46.07 Automatic Execution
12:44:16 - 25-Nov-25
Sell* 107 £46.07 Automatic Execution
12:44:15 - 25-Nov-25
Sell* 107 £46.07 Automatic Execution
12:44:13 - 25-Nov-25
Sell* 107 £46.075 Automatic Execution
12:44:11 - 25-Nov-25
Sell* 107 £46.08 Automatic Execution
12:44:10 - 25-Nov-25
Sell* 107 £46.08 Automatic Execution
12:44:09 - 25-Nov-25
Sell* 107 £46.085 Automatic Execution
12:44:08 - 25-Nov-25
Sell* 107 £46.08 Automatic Execution
12:44:07 - 25-Nov-25
Sell* 107 £46.085 Automatic Execution
12:44:06 - 25-Nov-25
Sell* 107 £46.08 Automatic Execution
12:44:05 - 25-Nov-25
Sell* 107 £46.085 Automatic Execution
12:44:04 - 25-Nov-25
Sell* 107 £46.085 Automatic Execution
12:44:03 - 25-Nov-25
Sell* 107 £46.085 Automatic Execution
12:44:02 - 25-Nov-25
Sell* 107 £46.055 Automatic Execution
12:43:40 - 25-Nov-25
Sell* 107 £46.05 Automatic Execution
12:43:39 - 25-Nov-25
Sell* 107 £46.025 Automatic Execution
12:43:34 - 25-Nov-25
Sell* 91 £46.005 Automatic Execution
12:43:07 - 25-Nov-25
Sell* 107 £45.97 Automatic Execution
12:41:31 - 25-Nov-25
Sell* 13 £45.98 Automatic Execution
12:40:42 - 25-Nov-25
Sell* 94 £45.98 Automatic Execution
12:40:42 - 25-Nov-25
Sell* 107 £45.965 Automatic Execution
12:37:10 - 25-Nov-25
Sell* 107 £45.965 Automatic Execution
12:36:01 - 25-Nov-25
Sell* 107 £46.035 Automatic Execution
12:06:18 - 25-Nov-25
Buy* 86 £46.01 Automatic Execution
10:47:02 - 25-Nov-25
Buy* 18 £45.995 Automatic Execution
10:43:33 - 25-Nov-25
Buy* 18 £45.895 Automatic Execution
10:33:29 - 25-Nov-25
Buy* 63 £45.895 Automatic Execution
10:33:29 - 25-Nov-25
Buy* 53 £45.835 Automatic Execution
10:32:34 - 25-Nov-25
Buy* 9 £45.835 Automatic Execution
10:32:34 - 25-Nov-25
Buy* 9 £45.835 Automatic Execution
10:32:34 - 25-Nov-25
Buy* 9 £45.835 Automatic Execution
10:32:34 - 25-Nov-25
Buy* 9 £45.835 Automatic Execution
10:32:34 - 25-Nov-25
Buy* 9 £45.835 Automatic Execution
10:32:34 - 25-Nov-25
Buy* 9 £45.835 Automatic Execution
10:32:34 - 25-Nov-25
Buy* 62 £45.825 Automatic Execution
10:32:24 - 25-Nov-25
Buy* 9 £45.825 Automatic Execution
10:32:24 - 25-Nov-25
Buy* 9 £45.825 Automatic Execution
10:32:24 - 25-Nov-25
Buy* 9 £45.825 Automatic Execution
10:32:24 - 25-Nov-25
Buy* 9 £45.825 Automatic Execution
10:32:24 - 25-Nov-25
Buy* 9 £45.825 Automatic Execution
10:32:24 - 25-Nov-25
Sell* 107 £45.815 Automatic Execution
10:32:16 - 25-Nov-25
Sell* 107 £45.82 Automatic Execution
10:32:14 - 25-Nov-25
Sell* 107 £45.825 Automatic Execution
10:32:13 - 25-Nov-25
FTSE 100 Latest
Value9,720.51
Change26.58