Buy/Sell | Volume | Trade Prc | Trade Type | Trade Time |
---|---|---|---|---|
Buy* | 2 | £5.755 | SI Trade |
10:01:17 - 14-Mar-25 |
Buy* | 434 | £5.75282 | Ordinary |
09:56:48 - 14-Mar-25 |
Buy* | 6 | £5.70885 | Suspected BUY Trade |
15:10:03 - 13-Mar-25 |
Buy* | 8 | £5.777 | SI Trade |
08:04:16 - 13-Mar-25 |
Buy* | 118 | £5.777 | Automatic Execution |
08:03:58 - 13-Mar-25 |
Unknown* | 0 | £5.777 | SI Trade |
08:03:58 - 13-Mar-25 |
Buy* | 1 | £5.7787 | Suspected BUY Trade |
15:07:04 - 12-Mar-25 |
Sell* | 5 | £5.7494 | Negotiated Trade |
15:03:09 - 12-Mar-25 |
Buy* | 1 | £5.84 | Automatic Execution |
16:26:28 - 11-Mar-25 |
Buy* | 6 | £5.84 | Automatic Execution |
16:25:59 - 11-Mar-25 |
Buy* | 454 | £5.864 | Automatic Execution |
13:39:33 - 11-Mar-25 |
Buy* | 216 | £5.853 | Automatic Execution |
13:39:33 - 11-Mar-25 |
Buy* | 2 | £5.889 | Automatic Execution |
12:01:56 - 11-Mar-25 |
Buy* | 500 | £5.874 | Automatic Execution |
08:16:03 - 11-Mar-25 |
Sell* | 180 | £5.84 | Uncrossing Trade |
08:09:06 - 11-Mar-25 |
Buy* | 6 | £5.963 | SI Trade |
15:00:03 - 10-Mar-25 |
Buy* | 6 | £5.967 | SI Trade |
14:43:03 - 10-Mar-25 |
Buy* | 6 | £5.963 | SI Trade |
14:26:36 - 10-Mar-25 |
Buy* | 476 | £5.998 | Automatic Execution |
13:25:08 - 10-Mar-25 |
Buy* | 500 | £5.98 | Automatic Execution |
13:25:08 - 10-Mar-25 |
Buy* | 3 | £5.987 | SI Trade |
13:13:00 - 10-Mar-25 |
Buy* | 3 | £6.015 | SI Trade |
11:21:14 - 10-Mar-25 |
Buy* | 9 | £6.075 | SI Trade |
13:39:15 - 07-Mar-25 |
Buy* | 218 | £6.078 | Automatic Execution |
13:39:15 - 07-Mar-25 |
Buy* | 2 | £6.078 | SI Trade |
13:39:14 - 07-Mar-25 |
Buy* | 37 | £6.094 | SI Trade |
08:06:41 - 07-Mar-25 |
Buy* | 2 | £6.094 | SI Trade |
08:06:41 - 07-Mar-25 |
Buy* | 23 | £6.2507 | Suspected BUY Trade |
15:09:17 - 06-Mar-25 |
Buy* | 10 | £6.309 | SI Trade |
08:03:56 - 06-Mar-25 |
Buy* | 6 | £6.128 | SI Trade |
15:24:08 - 04-Mar-25 |
Buy* | 321 | £6.15045 | Suspected BUY Trade |
15:13:18 - 04-Mar-25 |
Buy* | 1 | £6.232 | SI Trade |
13:20:46 - 04-Mar-25 |
Sell* | 11 | £6.166 | SI Trade |
13:20:46 - 04-Mar-25 |
Sell* | 2 | £6.206 | SI Trade |
12:41:34 - 04-Mar-25 |
Buy* | 3 | £6.267 | SI Trade |
12:35:58 - 04-Mar-25 |
Buy* | 1 | £6.267 | SI Trade |
12:31:17 - 04-Mar-25 |
Buy* | 1 | £6.341 | SI Trade |
08:14:50 - 04-Mar-25 |
Buy* | 1 | £6.336 | SI Trade |
08:07:31 - 04-Mar-25 |
Buy* | 13 | £6.336 | SI Trade |
08:01:58 - 04-Mar-25 |
Sell* | 50 | £6.38 | Automatic Execution |
15:21:19 - 03-Mar-25 |
Buy* | 500 | £6.369 | Automatic Execution |
15:21:19 - 03-Mar-25 |
Buy* | 1 | £6.3677 | Suspected BUY Trade |
15:14:13 - 03-Mar-25 |
Buy* | 8 | £6.517 | SI Trade |
08:01:47 - 03-Mar-25 |
Buy* | 3 | £6.3587 | Suspected BUY Trade |
15:13:08 - 28-Feb-25 |
Buy* | 170 | £6.507 | Result of RFQ |
16:29:16 - 27-Feb-25 |
Sell* | 4,500 | £6.4926 | Negotiated Trade |
16:28:13 - 27-Feb-25 |
Sell* | 3 | £6.417 | Negotiated Trade |
14:58:41 - 27-Feb-25 |
Buy* | 368 | £6.4891 | Suspected BUY Trade |
14:53:18 - 27-Feb-25 |