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V Jpm Em Cur Bd (EMGB) Share Trades

Buy/Sell Volume Trade Prc Trade Type Trade Time
Buy* 180 £50.8365 Suspected BUY Trade
14:49:51 - 15-Dec-25
Sell* 541 £50.79071 Negotiated Trade
14:19:15 - 12-Dec-25
Buy* 1 £50.6743 Suspected BUY Trade
15:00:18 - 11-Dec-25
Sell* 197 £50.487 Negotiated Trade
08:00:28 - 11-Dec-25
Sell* 458 £50.67615 Negotiated Trade
10:45:50 - 10-Dec-25
Sell* 1 £50.6751 Negotiated Trade
15:08:37 - 09-Dec-25
Sell* 490 £50.78615 Negotiated Trade
09:32:13 - 08-Dec-25
Buy* 1 £50.984 Suspected BUY Trade
15:09:11 - 05-Dec-25
Sell* 170 £50.8509 Negotiated Trade
13:21:27 - 05-Dec-25
Sell* 306 £50.90964 Negotiated Trade
13:18:09 - 05-Dec-25
Sell* 1,588 £50.86785 Negotiated Trade
12:57:27 - 05-Dec-25
Sell* 899 £50.94079 Negotiated Trade
12:48:41 - 05-Dec-25
Buy* 1 £50.974 Suspected BUY Trade
15:08:07 - 04-Dec-25
Buy* 14 £51.00 Suspected BUY Trade
16:35:16 - 03-Dec-25
Buy* 14 £51.07 Automatic Execution
15:07:31 - 03-Dec-25
Sell* 220 £51.0592 Ordinary
08:08:14 - 02-Dec-25
Sell* 65 £51.02706 Ordinary
15:20:16 - 28-Nov-25
Sell* 59 £51.01179 Ordinary
14:27:14 - 28-Nov-25
Sell* 1,159 £50.98 Result of RFQ
10:30:32 - 28-Nov-25
Sell* 1,159 £50.9836 Negotiated Trade
10:29:39 - 28-Nov-25
Sell* 200 £51.003 Ordinary
08:16:06 - 28-Nov-25
Sell* 182 £50.8942 Negotiated Trade
15:22:59 - 27-Nov-25
Sell* 1 £50.8942 Negotiated Trade
15:01:00 - 27-Nov-25
Sell* 162 £50.89903 Ordinary
14:14:21 - 27-Nov-25
Sell* 11 £50.91477 Negotiated Trade
14:08:53 - 27-Nov-25
Sell* 69 £50.88781 Negotiated Trade
13:56:38 - 27-Nov-25
Sell* 44 £50.97368 Ordinary
11:40:23 - 27-Nov-25
Sell* 99 £50.97373 Ordinary
11:39:19 - 27-Nov-25
Sell* 497 £50.99315 Negotiated Trade
11:21:47 - 27-Nov-25
Sell* 10 £50.98653 Ordinary
09:01:47 - 27-Nov-25
Sell* 217 £50.98662 Ordinary
08:18:26 - 27-Nov-25
Sell* 20 £50.94363 Ordinary
08:14:41 - 27-Nov-25
Buy* 10 £51.10 Automatic Execution
14:32:28 - 26-Nov-25
Buy* 1 £51.1364 Suspected BUY Trade
15:08:35 - 25-Nov-25
Buy* 194 £51.31875 Suspected BUY Trade
08:00:24 - 24-Nov-25
Buy* 10 £51.264 Suspected BUY Trade
15:20:13 - 21-Nov-25
Buy* 239 £51.17643 Suspected BUY Trade
15:21:52 - 18-Nov-25
Buy* 235 £51.14 Automatic Execution
10:50:58 - 18-Nov-25
Buy* 234 £51.14 Automatic Execution
10:50:58 - 18-Nov-25
Buy* 62 £51.14 Automatic Execution
10:50:58 - 18-Nov-25
Buy* 704 £51.14 Result of RFQ
10:50:58 - 18-Nov-25
Buy* 234 £51.14 Automatic Execution
10:50:55 - 18-Nov-25
Buy* 1,234 £51.13385 Suspected BUY Trade
10:49:54 - 18-Nov-25
Buy* 60 £51.2201 Suspected BUY Trade
09:39:59 - 14-Nov-25
Buy* 60 £51.2194 Suspected BUY Trade
09:39:34 - 14-Nov-25
Buy* 2,300 £51.18 Automatic Execution
08:42:35 - 14-Nov-25
Buy* 48 £51.4255 Suspected BUY Trade
15:15:36 - 12-Nov-25
Buy* 97 £51.4619 Suspected BUY Trade
14:29:48 - 12-Nov-25
Buy* 1 £51.0552 Suspected BUY Trade
15:18:20 - 10-Nov-25
Buy* 1 £51.0352 Suspected BUY Trade
15:04:32 - 10-Nov-25
Buy* 2 £51.01 Suspected BUY Trade
14:27:45 - 10-Nov-25
Buy* 78 £51.02 Suspected BUY Trade
09:33:17 - 10-Nov-25
Buy* 9 £50.99 Suspected BUY Trade
08:37:34 - 10-Nov-25
Buy* 200 £51.0522 Ordinary
15:58:16 - 06-Nov-25
Buy* 1 £51.0928 Suspected BUY Trade
15:25:13 - 06-Nov-25
Sell* 1 £50.8775 Negotiated Trade
15:18:28 - 06-Nov-25
Sell* 78 £50.9416 Negotiated Trade
08:00:13 - 05-Nov-25
Buy* 1 £51.0243 Suspected BUY Trade
15:15:52 - 04-Nov-25
Buy* 99 £50.9916 Suspected BUY Trade
12:18:08 - 04-Nov-25
Buy* 490 £50.9831 Suspected BUY Trade
10:01:48 - 04-Nov-25
Buy* 13 £50.8949 Suspected BUY Trade
15:26:47 - 03-Nov-25
Sell* 644 £50.78494 Ordinary
14:13:19 - 03-Nov-25
Buy* 100 £50.67 Automatic Execution
08:31:00 - 31-Oct-25
Buy* 1,476 £50.80 Result of RFQ
10:45:45 - 29-Oct-25
Buy* 1,476 £50.79385 Suspected BUY Trade
10:45:31 - 29-Oct-25
Buy* 20 £50.2261 Suspected BUY Trade
15:18:39 - 27-Oct-25
Sell* 81 £50.1454 Negotiated Trade
16:05:16 - 24-Oct-25
Sell* 14 £49.73 Uncrossing Trade
16:35:23 - 22-Oct-25
Sell* 14 £49.89 Automatic Execution
15:29:37 - 22-Oct-25
Buy* 26 £49.84 Suspected BUY Trade
10:16:17 - 21-Oct-25
Sell* 3 £49.666 Negotiated Trade
15:17:33 - 20-Oct-25
Sell* 70 £49.5406 Negotiated Trade
15:19:31 - 16-Oct-25
Buy* 120 £49.69722 Ordinary
08:34:28 - 16-Oct-25
Sell* 3 £49.562 Negotiated Trade
15:15:52 - 14-Oct-25
Buy* 2 £49.7481 Suspected BUY Trade
15:10:29 - 14-Oct-25
Buy* 40 £49.78902 Ordinary
16:18:30 - 13-Oct-25
Sell* 78 £49.62621 Ordinary
16:00:55 - 13-Oct-25
Sell* 43 £49.56841 Ordinary
08:06:14 - 13-Oct-25
Buy* 3 £49.73 Automatic Execution
08:04:00 - 13-Oct-25
Buy* 4 £49.9582 Suspected BUY Trade
15:15:02 - 10-Oct-25
Buy* 9 £49.90973 Suspected BUY Trade
09:47:59 - 10-Oct-25
Buy* 197 £49.489 Suspected BUY Trade
08:15:01 - 08-Oct-25
Buy* 8 £49.4782 Suspected BUY Trade
15:42:13 - 07-Oct-25
Buy* 1 £49.4882 Suspected BUY Trade
15:18:04 - 07-Oct-25
Sell* 123 £49.28636 Ordinary
10:16:26 - 07-Oct-25
Buy* 100 £49.4867 Suspected BUY Trade
08:03:57 - 03-Oct-25
Buy* 644 £49.4972 Suspected BUY Trade
14:35:53 - 02-Oct-25
Buy* 2 £49.5264 Suspected BUY Trade
08:07:31 - 30-Sep-25
Buy* 45 £49.4342 Suspected BUY Trade
14:46:36 - 29-Sep-25
Buy* 98 £49.4083 Suspected BUY Trade
08:50:06 - 29-Sep-25
Buy* 18 £49.44 Suspected BUY Trade
08:00:25 - 29-Sep-25
Buy* 67 £49.5283 Suspected BUY Trade
08:04:33 - 26-Sep-25
Buy* 39 £49.46 Suspected BUY Trade
11:40:50 - 24-Sep-25
Buy* 4 £49.4186 Suspected BUY Trade
15:12:25 - 23-Sep-25
Sell* 40 £49.2215 Negotiated Trade
08:00:15 - 23-Sep-25
Buy* 2 £49.4485 Suspected BUY Trade
15:20:20 - 22-Sep-25
Sell* 19 £49.2428 Negotiated Trade
14:56:51 - 22-Sep-25
Buy* 2 £49.4285 Suspected BUY Trade
15:10:22 - 19-Sep-25
Sell* 28 £49.29364 Ordinary
14:43:00 - 19-Sep-25
Buy* 203 £49.09012 Suspected BUY Trade
12:13:16 - 18-Sep-25
Buy* 1 £49.0184 Suspected BUY Trade
15:03:08 - 17-Sep-25
Sell* 1 £48.8814 Negotiated Trade
15:00:56 - 17-Sep-25
Buy* 102 £48.93628 Ordinary
09:00:50 - 16-Sep-25
Buy* 3 £48.9989 Suspected BUY Trade
15:20:45 - 15-Sep-25
Buy* 255 £48.9784 Suspected BUY Trade
08:00:20 - 15-Sep-25
Buy* 4 £49.0085 Suspected BUY Trade
15:53:58 - 12-Sep-25
Buy* 2,300 £48.80 Automatic Execution
13:38:43 - 11-Sep-25
Sell* 1 £48.6312 Negotiated Trade
15:18:22 - 10-Sep-25
Buy* 1 £48.7488 Suspected BUY Trade
15:13:29 - 10-Sep-25
Buy* 10 £48.76502 Suspected BUY Trade
09:58:39 - 10-Sep-25
Sell* 544 £48.74492 Ordinary
15:32:33 - 09-Sep-25
Buy* 2 £48.7984 Suspected BUY Trade
15:15:22 - 05-Sep-25
Buy* 205 £48.7928 Suspected BUY Trade
09:18:16 - 05-Sep-25
Buy* 1 £48.7786 Suspected BUY Trade
15:15:57 - 04-Sep-25
Buy* 37 £48.59 Suspected BUY Trade
08:00:22 - 01-Sep-25
Buy* 4 £48.7385 Suspected BUY Trade
15:18:32 - 29-Aug-25
Sell* 3 £48.4514 Negotiated Trade
15:09:10 - 28-Aug-25
Buy* 17 £48.5788 Suspected BUY Trade
08:30:33 - 28-Aug-25
Buy* 20 £48.75 Suspected BUY Trade
08:00:11 - 26-Aug-25
Sell* 32 £48.4906 Negotiated Trade
16:00:15 - 21-Aug-25
Buy* 1 £48.6583 Suspected BUY Trade
15:11:50 - 21-Aug-25
Buy* 153 £48.49 Automatic Execution
16:02:13 - 20-Aug-25
Buy* 5 £48.489 Suspected BUY Trade
15:16:27 - 20-Aug-25
Buy* 1 £48.4482 Suspected BUY Trade
15:11:18 - 19-Aug-25
Buy* 160 £48.4014 Suspected BUY Trade
08:05:48 - 18-Aug-25
Buy* 72 £48.4689 Suspected BUY Trade
15:43:18 - 13-Aug-25
Buy* 1 £48.4884 Suspected BUY Trade
15:06:12 - 13-Aug-25
Sell* 209 £48.38935 Negotiated Trade
10:05:26 - 13-Aug-25
Buy* 308 £48.73 Result of RFQ
16:28:20 - 08-Aug-25
Buy* 308 £48.73555 Suspected BUY Trade
16:28:03 - 08-Aug-25
Buy* 800 £48.74 Result of RFQ
16:12:42 - 08-Aug-25
Buy* 800 £48.73555 Suspected BUY Trade
16:11:42 - 08-Aug-25
Buy* 15 £48.90 Suspected BUY Trade
16:35:05 - 06-Aug-25
Buy* 708 £48.89 Result of RFQ
15:21:44 - 06-Aug-25
Buy* 300 £48.89 Automatic Execution
15:21:40 - 06-Aug-25
Buy* 15 £48.87 Automatic Execution
15:13:18 - 06-Aug-25
Buy* 1,023 £48.86235 Suspected BUY Trade
15:11:05 - 06-Aug-25
Buy* 102 £48.83 Suspected BUY Trade
14:11:18 - 06-Aug-25
Buy* 83 £48.80 Automatic Execution
10:17:10 - 06-Aug-25
Buy* 17 £48.80 Automatic Execution
09:24:34 - 06-Aug-25
Buy* 160 £48.7987 Suspected BUY Trade
08:00:09 - 05-Aug-25
Buy* 102 £48.7707 Suspected BUY Trade
08:04:03 - 04-Aug-25
Buy* 660 £48.6419 Suspected BUY Trade
15:17:47 - 01-Aug-25
Sell* 33 £48.58 Automatic Execution
16:35:09 - 31-Jul-25
Sell* 150 £48.58 Uncrossing Trade
16:35:09 - 31-Jul-25
Sell* 17 £48.50 Automatic Execution
13:34:53 - 31-Jul-25
Buy* 200 £48.5384 Suspected BUY Trade
11:19:11 - 31-Jul-25
Buy* 35 £48.4341 Suspected BUY Trade
16:13:57 - 30-Jul-25
Sell* 6 £48.3414 Negotiated Trade
15:14:07 - 30-Jul-25
Buy* 49 £48.3697 Suspected BUY Trade
09:43:43 - 30-Jul-25
Buy* 17 £48.44 Suspected BUY Trade
16:35:05 - 29-Jul-25
Buy* 17 £48.40 Automatic Execution
15:07:31 - 29-Jul-25
Sell* 2 £48.1612 Negotiated Trade
15:27:01 - 28-Jul-25
Unknown* 244 £48.2515 Ordinary
14:37:12 - 28-Jul-25
Sell* 168 £48.1729 Negotiated Trade
14:36:34 - 28-Jul-25
Buy* 200 £48.4426 Suspected BUY Trade
12:57:29 - 25-Jul-25
Buy* 103 £48.41 Suspected BUY Trade
08:00:08 - 25-Jul-25
Buy* 40 £48.2044 Suspected BUY Trade
08:01:36 - 23-Jul-25
Sell* 7 £48.1612 Negotiated Trade
15:15:21 - 18-Jul-25
Sell* 108 £48.20208 Ordinary
10:50:20 - 18-Jul-25
Sell* 212 £47.7736 Negotiated Trade
08:08:47 - 11-Jul-25
Buy* 34 £47.7592 Suspected BUY Trade
12:59:00 - 07-Jul-25
Buy* 83 £47.8184 Suspected BUY Trade
11:50:34 - 07-Jul-25
Buy* 1 £47.8987 Suspected BUY Trade
15:12:16 - 04-Jul-25
Sell* 263 £47.74 Automatic Execution
15:47:43 - 03-Jul-25
Sell* 46 £47.79 Automatic Execution
15:47:43 - 03-Jul-25
Buy* 51 £47.7745 Suspected BUY Trade
08:25:33 - 03-Jul-25
Sell* 800 £47.79 Result of RFQ
14:41:13 - 02-Jul-25
Sell* 800 £47.7914 Negotiated Trade
14:40:56 - 02-Jul-25
Buy* 44 £47.2558 Suspected BUY Trade
09:22:11 - 30-Jun-25
Buy* 212 £47.2536 Suspected BUY Trade
09:17:39 - 30-Jun-25
Buy* 86 £47.184 Suspected BUY Trade
15:59:11 - 25-Jun-25
Buy* 168 £47.2503 Suspected BUY Trade
08:22:35 - 24-Jun-25
Buy* 244 £47.251 Suspected BUY Trade
08:21:07 - 24-Jun-25
Buy* 107 £47.3551 Suspected BUY Trade
15:40:24 - 20-Jun-25
Buy* 277 £47.4339 Suspected BUY Trade
15:32:30 - 18-Jun-25
Buy* 306 £47.4168 Suspected BUY Trade
15:25:51 - 18-Jun-25
Sell* 149 £47.2812 Negotiated Trade
10:45:29 - 18-Jun-25
Buy* 10 £47.1121 Suspected BUY Trade
13:21:52 - 17-Jun-25
Buy* 2,300 £47.01 Automatic Execution
08:02:08 - 17-Jun-25
Buy* 72 £47.00 Automatic Execution
08:01:38 - 17-Jun-25
Buy* 217 £46.98 Result of RFQ
09:27:10 - 16-Jun-25
Buy* 217 £46.97222 Suspected BUY Trade
09:26:01 - 16-Jun-25
Sell* 427 £47.05 Result of RFQ
10:25:28 - 10-Jun-25
Sell* 427 £47.05333 Negotiated Trade
10:25:16 - 10-Jun-25
Sell* 200 £46.88622 Ordinary
15:38:00 - 09-Jun-25
Buy* 21 £46.9504 Suspected BUY Trade
08:06:28 - 09-Jun-25
Sell* 433 £46.7652 Negotiated Trade
09:48:58 - 05-Jun-25
Buy* 1 £46.8188 Suspected BUY Trade
15:17:34 - 03-Jun-25
Sell* 77 £46.79 Negotiated Trade
10:01:55 - 30-May-25
Buy* 370 £46.75 Automatic Execution
14:03:22 - 29-May-25
Sell* 193 £46.7081 Negotiated Trade
15:16:14 - 28-May-25
Sell* 71 £46.70 Automatic Execution
15:16:13 - 28-May-25
Sell* 1,214 £46.70 Result of RFQ
15:16:13 - 28-May-25
Sell* 1,285 £46.71694 Negotiated Trade
15:16:06 - 28-May-25
Buy* 170 £46.7585 Suspected BUY Trade
13:58:31 - 22-May-25
Buy* 1,114 £46.72 Result of RFQ
13:40:20 - 22-May-25
Buy* 1,114 £46.70306 Suspected BUY Trade
13:35:28 - 22-May-25
Buy* 28 £46.68 Automatic Execution
14:24:25 - 19-May-25
Sell* 12 £46.7935 Negotiated Trade
16:14:11 - 13-May-25
FTSE 100 Latest
Value9,684.79
Change-66.52