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Amundi Emmk Gbp (E127) Share Trades

Buy/Sell Volume Trade Prc Trade Type Trade Time
Sell* 204 £47.185 Automatic Execution
12:29:09 - 05-Nov-25
Sell* 12 £47.1853 Negotiated Trade
11:27:26 - 05-Nov-25
Buy* 102 £47.235 Automatic Execution
10:17:09 - 05-Nov-25
Buy* 102 £47.23 Automatic Execution
10:17:08 - 05-Nov-25
Buy* 102 £47.22 Automatic Execution
10:16:41 - 05-Nov-25
Buy* 102 £47.25 Automatic Execution
10:07:38 - 05-Nov-25
Buy* 102 £47.235 Automatic Execution
10:05:27 - 05-Nov-25
Buy* 8 £47.2298 Suspected BUY Trade
10:01:33 - 05-Nov-25
Buy* 102 £47.215 Automatic Execution
09:31:26 - 05-Nov-25
Buy* 40 £47.185 Automatic Execution
08:06:44 - 05-Nov-25
Buy* 40 £47.18 Automatic Execution
08:06:16 - 05-Nov-25
Buy* 16 £47.155 Automatic Execution
08:05:23 - 05-Nov-25
Buy* 16 £47.155 Automatic Execution
08:05:23 - 05-Nov-25
Buy* 16 £47.155 Automatic Execution
08:05:23 - 05-Nov-25
Buy* 102 £47.15 Automatic Execution
08:03:43 - 05-Nov-25
Buy* 81 £47.14 Automatic Execution
08:01:33 - 05-Nov-25
Buy* 102 £47.13 Automatic Execution
08:01:18 - 05-Nov-25
Buy* 86 £47.115 Automatic Execution
08:01:09 - 05-Nov-25
Buy* 16 £47.115 Automatic Execution
08:01:09 - 05-Nov-25
Buy* 102 £47.575 Automatic Execution
16:04:36 - 04-Nov-25
Buy* 578 £47.605 Automatic Execution
16:02:36 - 04-Nov-25
Buy* 102 £47.595 Automatic Execution
16:02:36 - 04-Nov-25
Buy* 42 £47.6035 Suspected BUY Trade
15:33:33 - 04-Nov-25
Sell* 2 £47.5765 Negotiated Trade
15:33:26 - 04-Nov-25
Buy* 562 £47.60375 Suspected BUY Trade
15:33:17 - 04-Nov-25
Sell* 415 £47.57175 Negotiated Trade
15:32:59 - 04-Nov-25
Buy* 18 £47.5735 Suspected BUY Trade
15:17:19 - 04-Nov-25
Buy* 193 £47.53875 Suspected BUY Trade
15:09:03 - 04-Nov-25
Buy* 102 £47.475 Automatic Execution
14:46:18 - 04-Nov-25
Buy* 102 £47.47 Automatic Execution
14:46:09 - 04-Nov-25
Buy* 102 £47.35 Automatic Execution
14:40:20 - 04-Nov-25
Buy* 102 £47.335 Automatic Execution
14:34:00 - 04-Nov-25
Buy* 102 £47.34 Automatic Execution
14:33:45 - 04-Nov-25
Buy* 102 £47.345 Automatic Execution
14:33:35 - 04-Nov-25
Buy* 16 £47.36 Automatic Execution
13:20:19 - 04-Nov-25
Buy* 40 £47.40 Automatic Execution
11:31:14 - 04-Nov-25
Buy* 16 £47.315 Automatic Execution
10:32:49 - 04-Nov-25
Sell* 32 £47.315 Automatic Execution
09:09:21 - 04-Nov-25
Sell* 102 £47.335 Automatic Execution
09:07:14 - 04-Nov-25
Buy* 16 £47.33 Automatic Execution
08:44:16 - 04-Nov-25
Buy* 16 £47.34 Automatic Execution
08:25:34 - 04-Nov-25
Sell* 16 £47.315 Automatic Execution
08:03:51 - 04-Nov-25
Buy* 92 £47.71875 Suspected BUY Trade
15:58:50 - 03-Nov-25
Sell* 13 £47.701 Negotiated Trade
15:58:41 - 03-Nov-25
Buy* 651 £47.729 Suspected BUY Trade
15:58:23 - 03-Nov-25
Sell* 624 £47.711 Negotiated Trade
15:58:23 - 03-Nov-25
Buy* 102 £47.735 Automatic Execution
15:44:52 - 03-Nov-25
Buy* 128 £47.6885 Suspected BUY Trade
15:34:09 - 03-Nov-25
Sell* 40 £47.64075 Negotiated Trade
15:28:26 - 03-Nov-25
Buy* 102 £47.835 Automatic Execution
14:45:00 - 03-Nov-25
Sell* 312 £47.8867 Negotiated Trade
14:16:15 - 03-Nov-25
Buy* 102 £47.85 Automatic Execution
13:36:38 - 03-Nov-25
Buy* 102 £47.75 Automatic Execution
08:03:16 - 03-Nov-25
Sell* 72 £47.50 Automatic Execution
15:56:00 - 31-Oct-25
Buy* 48 £47.61 Automatic Execution
15:45:22 - 31-Oct-25
Buy* 8 £47.61 Automatic Execution
15:45:22 - 31-Oct-25
Sell* 371 £47.47575 Negotiated Trade
15:39:45 - 31-Oct-25
Buy* 574 £47.48925 Suspected BUY Trade
15:39:45 - 31-Oct-25
Buy* 9 £47.53325 Suspected BUY Trade
15:10:52 - 31-Oct-25
Buy* 210 £47.53009 Ordinary
14:11:22 - 31-Oct-25
Sell* 101 £47.605 Automatic Execution
13:33:10 - 31-Oct-25
Sell* 101 £47.645 Automatic Execution
12:16:15 - 31-Oct-25
Sell* 101 £47.64 Automatic Execution
12:14:01 - 31-Oct-25
Unknown* 6,800 £47.5913 OTC Trade
12:02:50 - 31-Oct-25
Sell* 101 £47.595 Automatic Execution
11:54:04 - 31-Oct-25
Sell* 101 £47.595 Automatic Execution
11:51:02 - 31-Oct-25
Sell* 101 £47.585 Automatic Execution
11:50:08 - 31-Oct-25
Sell* 101 £47.605 Automatic Execution
11:41:21 - 31-Oct-25
Sell* 101 £47.57 Automatic Execution
11:36:57 - 31-Oct-25
Sell* 101 £47.555 Automatic Execution
11:35:32 - 31-Oct-25
Sell* 101 £47.555 Automatic Execution
11:34:29 - 31-Oct-25
Sell* 101 £47.555 Automatic Execution
11:34:03 - 31-Oct-25
Sell* 101 £47.55 Automatic Execution
11:33:34 - 31-Oct-25
Sell* 101 £47.555 Automatic Execution
11:30:29 - 31-Oct-25
Sell* 101 £47.55 Automatic Execution
11:28:37 - 31-Oct-25
Sell* 101 £47.545 Automatic Execution
11:27:37 - 31-Oct-25
Sell* 101 £47.545 Automatic Execution
11:26:03 - 31-Oct-25
Sell* 101 £47.525 Automatic Execution
11:20:38 - 31-Oct-25
Sell* 32 £47.54 Automatic Execution
10:06:01 - 31-Oct-25
Sell* 32 £47.54 Automatic Execution
10:06:01 - 31-Oct-25
Sell* 9 £47.55 Automatic Execution
10:04:52 - 31-Oct-25
Sell* 92 £47.55 Automatic Execution
10:04:52 - 31-Oct-25
Buy* 760 £47.55425 Suspected BUY Trade
09:05:28 - 31-Oct-25
Sell* 880 £47.53675 Negotiated Trade
08:56:19 - 31-Oct-25
Unknown* 5,543 £47.50076 SI Trade
Currency Conversion
08:52:08 - 31-Oct-25
Unknown* -5,543 £0.00 SI Trade
Correction
Currency Conversion
08:52:08 - 31-Oct-25
Unknown* 5,543 £0.00 SI Trade
Currency Conversion
08:52:08 - 31-Oct-25
Buy* 24 £47.66825 Suspected BUY Trade
15:43:57 - 30-Oct-25
Sell* 37 £47.63675 Negotiated Trade
15:43:57 - 30-Oct-25
Sell* 637 £47.63675 Negotiated Trade
15:43:32 - 30-Oct-25
Buy* 526 £47.66825 Suspected BUY Trade
15:43:32 - 30-Oct-25
Sell* 103 £47.67 Automatic Execution
15:38:01 - 30-Oct-25
Buy* 8 £47.6935 Suspected BUY Trade
15:14:07 - 30-Oct-25
Sell* 1 £47.6765 Negotiated Trade
15:11:18 - 30-Oct-25
Buy* 7 £47.71325 Suspected BUY Trade
15:05:28 - 30-Oct-25
Buy* 53 £47.615 Automatic Execution
13:05:52 - 30-Oct-25
Buy* 103 £47.635 Automatic Execution
12:29:35 - 30-Oct-25
Sell* 103 £47.70 Automatic Execution
11:25:21 - 30-Oct-25
Sell* 103 £47.70 Automatic Execution
11:23:37 - 30-Oct-25
Sell* 103 £47.715 Automatic Execution
11:08:21 - 30-Oct-25
Sell* 103 £47.72 Automatic Execution
11:07:38 - 30-Oct-25
Sell* 103 £47.72 Automatic Execution
11:07:32 - 30-Oct-25
Sell* 103 £47.72 Automatic Execution
11:07:01 - 30-Oct-25
Sell* 103 £47.725 Automatic Execution
11:06:47 - 30-Oct-25
Sell* 103 £47.725 Automatic Execution
11:06:42 - 30-Oct-25
Sell* 103 £47.725 Automatic Execution
11:06:37 - 30-Oct-25
Sell* 103 £47.725 Automatic Execution
11:06:32 - 30-Oct-25
Sell* 103 £47.715 Automatic Execution
11:06:17 - 30-Oct-25
Buy* 200 £47.71669 Ordinary
10:11:43 - 30-Oct-25
Sell* 12 £47.70 Automatic Execution
10:05:33 - 30-Oct-25
Sell* 24 £47.70 Automatic Execution
10:05:33 - 30-Oct-25
Sell* 8 £47.64 Automatic Execution
09:48:18 - 30-Oct-25
Sell* 8 £47.64 Automatic Execution
09:48:18 - 30-Oct-25
Sell* 16 £47.64 Automatic Execution
09:48:18 - 30-Oct-25
Buy* 41 £47.95875 Suspected BUY Trade
15:49:58 - 29-Oct-25
Sell* 48 £47.936 Negotiated Trade
15:49:49 - 29-Oct-25
Sell* 562 £47.93625 Negotiated Trade
15:49:41 - 29-Oct-25
Buy* 403 £47.954 Suspected BUY Trade
15:49:32 - 29-Oct-25
Buy* 104 £48.025 Suspected BUY Trade
15:29:22 - 29-Oct-25
Buy* 48 £48.03 Automatic Execution
15:28:51 - 29-Oct-25
Buy* 102 £48.025 Automatic Execution
15:28:38 - 29-Oct-25
Sell* 102 £48.025 Automatic Execution
15:28:28 - 29-Oct-25
Buy* 102 £48.025 Automatic Execution
15:28:28 - 29-Oct-25
Buy* 202 £48.00325 Suspected BUY Trade
15:12:23 - 29-Oct-25
Buy* 461 £48.01277 Ordinary
15:07:22 - 29-Oct-25
Sell* 1 £47.996 Negotiated Trade
15:06:22 - 29-Oct-25
Buy* 102 £47.99 Automatic Execution
15:05:16 - 29-Oct-25
Buy* 154 £47.984 Suspected BUY Trade
15:04:20 - 29-Oct-25
Sell* 1 £47.971 Negotiated Trade
14:59:59 - 29-Oct-25
Sell* 102 £48.025 Automatic Execution
14:44:20 - 29-Oct-25
Buy* 63 £48.02166 Ordinary
14:44:04 - 29-Oct-25
Sell* 88 £48.03 Automatic Execution
14:39:57 - 29-Oct-25
Sell* 102 £48.045 Automatic Execution
14:32:35 - 29-Oct-25
Buy* 76 £48.025 Automatic Execution
14:23:27 - 29-Oct-25
Buy* 102 £48.025 Automatic Execution
14:23:25 - 29-Oct-25
Buy* 102 £48.045 Automatic Execution
14:22:35 - 29-Oct-25
Buy* 102 £48.025 Automatic Execution
14:21:28 - 29-Oct-25
Buy* 12 £48.02 Automatic Execution
14:19:26 - 29-Oct-25
Buy* 102 £48.025 Automatic Execution
14:15:39 - 29-Oct-25
Buy* 102 £48.025 Automatic Execution
13:52:02 - 29-Oct-25
Sell* 102 £48.065 Automatic Execution
13:49:43 - 29-Oct-25
Sell* 23 £48.06 Automatic Execution
13:48:28 - 29-Oct-25
Sell* 40 £48.06 Automatic Execution
13:48:28 - 29-Oct-25
Sell* 60 £48.065 Automatic Execution
13:43:19 - 29-Oct-25
Sell* 42 £48.065 Automatic Execution
13:43:19 - 29-Oct-25
Sell* 22 £48.105 Automatic Execution
13:35:45 - 29-Oct-25
Sell* 80 £48.105 Automatic Execution
13:35:45 - 29-Oct-25
Buy* 102 £48.065 Automatic Execution
13:32:46 - 29-Oct-25
Sell* 102 £48.02 Automatic Execution
12:19:04 - 29-Oct-25
Sell* 232 £48.0192 Ordinary
10:40:51 - 29-Oct-25
Buy* 18 £47.915 Automatic Execution
09:48:27 - 29-Oct-25
Buy* 16 £47.915 Automatic Execution
09:48:27 - 29-Oct-25
Buy* 24 £47.915 Automatic Execution
09:48:27 - 29-Oct-25
Buy* 18 £47.90 Automatic Execution
09:26:22 - 29-Oct-25
Buy* 84 £47.90 Automatic Execution
09:26:22 - 29-Oct-25
Sell* 102 £47.895 Automatic Execution
09:15:42 - 29-Oct-25
Sell* 102 £47.865 Automatic Execution
08:55:51 - 29-Oct-25
Sell* 102 £47.85 Automatic Execution
08:38:02 - 29-Oct-25
Sell* 102 £47.85 Automatic Execution
08:37:58 - 29-Oct-25
Sell* 102 £47.855 Automatic Execution
08:37:47 - 29-Oct-25
Sell* 40 £47.855 Automatic Execution
08:37:43 - 29-Oct-25
Sell* 43 £47.855 Automatic Execution
08:37:39 - 29-Oct-25
Sell* 57 £47.855 Automatic Execution
08:37:35 - 29-Oct-25
Sell* 77 £47.855 Automatic Execution
08:37:30 - 29-Oct-25
Sell* 102 £47.85 Automatic Execution
08:37:03 - 29-Oct-25
Sell* 102 £47.85 Automatic Execution
08:36:59 - 29-Oct-25
Sell* 102 £47.85 Automatic Execution
08:29:16 - 29-Oct-25
Sell* 102 £47.84 Automatic Execution
08:22:00 - 29-Oct-25
Sell* 102 £47.83 Automatic Execution
08:19:42 - 29-Oct-25
Sell* 102 £47.835 Automatic Execution
08:19:00 - 29-Oct-25
Sell* 102 £47.84 Automatic Execution
08:18:53 - 29-Oct-25
Sell* 102 £47.85 Automatic Execution
08:18:51 - 29-Oct-25
Sell* 102 £47.85 Automatic Execution
08:18:50 - 29-Oct-25
Sell* 102 £47.85 Automatic Execution
08:18:49 - 29-Oct-25
Sell* 102 £47.85 Automatic Execution
08:18:35 - 29-Oct-25
Sell* 64 £47.86 Automatic Execution
08:17:15 - 29-Oct-25
Sell* 102 £47.84 Automatic Execution
08:14:27 - 29-Oct-25
Sell* 102 £47.84 Automatic Execution
08:14:25 - 29-Oct-25
Sell* 102 £47.845 Automatic Execution
08:14:23 - 29-Oct-25
Sell* 102 £47.845 Automatic Execution
08:14:21 - 29-Oct-25
Sell* 102 £47.845 Automatic Execution
08:14:19 - 29-Oct-25
Sell* 102 £47.845 Automatic Execution
08:14:17 - 29-Oct-25
Sell* 102 £47.845 Automatic Execution
08:14:15 - 29-Oct-25
Sell* 102 £47.845 Automatic Execution
08:14:13 - 29-Oct-25
Sell* 102 £47.835 Automatic Execution
08:14:12 - 29-Oct-25
Sell* 102 £47.835 Automatic Execution
08:14:10 - 29-Oct-25
Sell* 102 £47.845 Automatic Execution
08:14:08 - 29-Oct-25
Sell* 102 £47.84 Automatic Execution
08:14:07 - 29-Oct-25
Sell* 102 £47.845 Automatic Execution
08:13:40 - 29-Oct-25
Sell* 102 £47.825 Automatic Execution
08:12:27 - 29-Oct-25
Sell* 102 £47.825 Automatic Execution
08:12:25 - 29-Oct-25
Sell* 102 £47.825 Automatic Execution
08:12:23 - 29-Oct-25
Sell* 102 £47.825 Automatic Execution
08:12:21 - 29-Oct-25
Sell* 102 £47.825 Automatic Execution
08:12:20 - 29-Oct-25
Sell* 102 £47.82 Automatic Execution
08:12:05 - 29-Oct-25
Sell* 102 £47.825 Automatic Execution
08:11:40 - 29-Oct-25
Sell* 102 £47.82 Automatic Execution
08:09:48 - 29-Oct-25
Sell* 102 £47.805 Automatic Execution
08:07:42 - 29-Oct-25
Sell* 102 £47.805 Automatic Execution
08:07:38 - 29-Oct-25
Sell* 102 £47.80 Automatic Execution
08:03:46 - 29-Oct-25
FTSE 100 Latest
Value9,721.34
Change6.38