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Spdr $ Comms (GXLC) Share Trades

Buy/Sell Volume Trade Prc Trade Type Trade Time
Buy* 5 £39.602 Suspected BUY Trade
15:21:20 - 12-Dec-25
Sell* 4,735 £39.67 Automatic Execution
14:44:34 - 12-Dec-25
Buy* 1,894 £39.67 Automatic Execution
14:43:47 - 12-Dec-25
Buy* 1,894 £39.665 Automatic Execution
14:43:39 - 12-Dec-25
Buy* 1,894 £39.665 Automatic Execution
14:43:19 - 12-Dec-25
Buy* 1,894 £39.64 Automatic Execution
14:42:47 - 12-Dec-25
Buy* 1,894 £39.64 Automatic Execution
14:42:37 - 12-Dec-25
Sell* 190 £39.68 Automatic Execution
14:41:07 - 12-Dec-25
Sell* 190 £39.695 Automatic Execution
14:34:27 - 12-Dec-25
Sell* 173 £39.5467 Negotiated Trade
12:20:19 - 12-Dec-25
Sell* 26 £39.3995 Negotiated Trade
15:08:48 - 11-Dec-25
Buy* 1 £39.4535 Suspected BUY Trade
15:01:11 - 11-Dec-25
Buy* 1 £39.462 Suspected BUY Trade
14:52:11 - 11-Dec-25
Sell* 1 £39.368 Negotiated Trade
14:51:47 - 11-Dec-25
Buy* 190 £39.525 Automatic Execution
11:53:47 - 11-Dec-25
Sell* 37 £39.485 Negotiated Trade
10:04:18 - 11-Dec-25
Buy* 101 £39.4008 Suspected BUY Trade
09:00:47 - 11-Dec-25
Sell* 4 £39.372 Negotiated Trade
08:02:24 - 11-Dec-25
Sell* 49 £39.74 Automatic Execution
16:29:29 - 10-Dec-25
Sell* 41 £39.735 Automatic Execution
16:27:59 - 10-Dec-25
Sell* 35 £39.73 Automatic Execution
16:26:30 - 10-Dec-25
Buy* 23 £39.745 Automatic Execution
16:24:22 - 10-Dec-25
Sell* 32 £39.74 Automatic Execution
16:24:19 - 10-Dec-25
Buy* 263 £39.735 Automatic Execution
16:23:12 - 10-Dec-25
Sell* 45 £39.72 Automatic Execution
16:22:39 - 10-Dec-25
Sell* 32 £39.71 Automatic Execution
16:21:57 - 10-Dec-25
Buy* 31 £39.73 Automatic Execution
16:18:36 - 10-Dec-25
Sell* 46 £39.72 Automatic Execution
16:18:35 - 10-Dec-25
Sell* 67 £39.72 Automatic Execution
16:16:19 - 10-Dec-25
Sell* 68 £39.73 Automatic Execution
16:13:39 - 10-Dec-25
Buy* 20 £39.735 Automatic Execution
16:11:22 - 10-Dec-25
Buy* 24 £39.72 Automatic Execution
16:09:52 - 10-Dec-25
Sell* 51 £39.695 Automatic Execution
16:09:09 - 10-Dec-25
Sell* 44 £39.705 Automatic Execution
16:07:29 - 10-Dec-25
Buy* 19 £39.695 Automatic Execution
16:04:19 - 10-Dec-25
Sell* 50 £39.67 Automatic Execution
16:03:29 - 10-Dec-25
Sell* 59 £39.67 Automatic Execution
16:01:09 - 10-Dec-25
Buy* 25 £39.695 Automatic Execution
15:57:42 - 10-Dec-25
Buy* 21 £39.685 Automatic Execution
15:57:37 - 10-Dec-25
Sell* 64 £39.66 Automatic Execution
15:57:02 - 10-Dec-25
Sell* 47 £39.70 Automatic Execution
15:55:00 - 10-Dec-25
Sell* 50 £39.71 Automatic Execution
15:52:59 - 10-Dec-25
Buy* 37 £39.745 Automatic Execution
15:49:13 - 10-Dec-25
Buy* 34 £39.73 Automatic Execution
15:48:49 - 10-Dec-25
Sell* 46 £39.71 Automatic Execution
15:48:19 - 10-Dec-25
Sell* 76 £39.69 Automatic Execution
15:46:09 - 10-Dec-25
Buy* 22 £39.72 Automatic Execution
15:42:45 - 10-Dec-25
Buy* 22 £39.71 Automatic Execution
15:42:31 - 10-Dec-25
Buy* 23 £39.70 Automatic Execution
15:42:25 - 10-Dec-25
Sell* 32 £39.685 Automatic Execution
15:41:29 - 10-Dec-25
Sell* 84 £39.69 Automatic Execution
15:38:49 - 10-Dec-25
Sell* 90 £39.745 Automatic Execution
15:34:39 - 10-Dec-25
Sell* 70 £39.755 Automatic Execution
15:31:50 - 10-Dec-25
Buy* 19 £39.78 Automatic Execution
15:29:24 - 10-Dec-25
Sell* 54 £39.755 Automatic Execution
15:28:59 - 10-Dec-25
Sell* 86 £39.765 Automatic Execution
15:25:30 - 10-Dec-25
Sell* 83 £39.775 Automatic Execution
15:22:19 - 10-Dec-25
Buy* 29 £39.785 Automatic Execution
15:19:40 - 10-Dec-25
Buy* 19 £39.775 Automatic Execution
15:17:56 - 10-Dec-25
Buy* 26 £39.765 Automatic Execution
15:17:48 - 10-Dec-25
Buy* 22 £39.755 Automatic Execution
15:17:24 - 10-Dec-25
Sell* 48 £39.74 Automatic Execution
15:16:29 - 10-Dec-25
Buy* 1 £39.755 Automatic Execution
15:15:29 - 10-Dec-25
Buy* 1 £39.7742 Suspected BUY Trade
15:14:06 - 10-Dec-25
Buy* 38 £39.765 Automatic Execution
15:12:12 - 10-Dec-25
Buy* 37 £39.755 Automatic Execution
15:12:03 - 10-Dec-25
Buy* 36 £39.745 Automatic Execution
15:10:48 - 10-Dec-25
Buy* 1 £39.743 Suspected BUY Trade
15:09:42 - 10-Dec-25
Buy* 19 £39.725 Automatic Execution
15:06:39 - 10-Dec-25
Buy* 19 £39.715 Automatic Execution
15:06:20 - 10-Dec-25
Buy* 22 £39.705 Automatic Execution
15:05:56 - 10-Dec-25
Buy* 30 £39.70 Automatic Execution
15:03:58 - 10-Dec-25
Buy* 31 £39.69 Automatic Execution
15:03:33 - 10-Dec-25
Buy* 33 £39.68 Automatic Execution
15:03:14 - 10-Dec-25
Sell* 4 £39.6665 Negotiated Trade
15:02:41 - 10-Dec-25
Buy* 31 £39.705 Automatic Execution
14:59:15 - 10-Dec-25
Buy* 38 £39.695 Automatic Execution
14:59:08 - 10-Dec-25
Sell* 107 £39.685 Automatic Execution
14:58:39 - 10-Dec-25
Buy* 2 £39.7005 Suspected BUY Trade
14:56:16 - 10-Dec-25
Buy* 19 £39.705 Automatic Execution
14:55:00 - 10-Dec-25
Sell* 77 £39.69 Automatic Execution
14:54:39 - 10-Dec-25
Sell* 75 £39.68 Automatic Execution
14:52:03 - 10-Dec-25
Buy* 38 £39.755 Automatic Execution
14:46:50 - 10-Dec-25
Buy* 32 £39.74 Automatic Execution
14:45:50 - 10-Dec-25
Buy* 24 £39.73 Automatic Execution
14:45:48 - 10-Dec-25
Buy* 32 £39.73 Automatic Execution
14:43:14 - 10-Dec-25
Buy* 31 £39.72 Automatic Execution
14:42:59 - 10-Dec-25
Buy* 25 £39.735 Automatic Execution
14:37:50 - 10-Dec-25
Buy* 20 £39.725 Automatic Execution
14:36:53 - 10-Dec-25
Buy* 26 £39.715 Automatic Execution
14:36:51 - 10-Dec-25
Buy* 32 £39.72 Automatic Execution
14:34:08 - 10-Dec-25
Buy* 29 £39.71 Automatic Execution
14:33:06 - 10-Dec-25
Buy* 29 £39.70 Automatic Execution
14:33:04 - 10-Dec-25
Sell* 114 £39.665 Automatic Execution
14:28:49 - 10-Dec-25
Sell* 102 £39.685 Automatic Execution
14:24:39 - 10-Dec-25
Sell* 36 £39.71 Automatic Execution
14:23:09 - 10-Dec-25
Sell* 24 £39.72 Automatic Execution
14:22:09 - 10-Dec-25
Sell* 85 £39.71 Automatic Execution
14:18:39 - 10-Dec-25
Sell* 24 £39.71 Automatic Execution
14:17:39 - 10-Dec-25
Sell* 51 £39.73 Automatic Execution
14:15:29 - 10-Dec-25
Sell* 104 £39.685 Automatic Execution
14:11:19 - 10-Dec-25
Sell* 22 £39.68 Automatic Execution
14:10:19 - 10-Dec-25
Buy* 37 £39.725 Automatic Execution
14:05:58 - 10-Dec-25
Buy* 20 £39.715 Automatic Execution
14:05:13 - 10-Dec-25
Buy* 37 £39.705 Automatic Execution
14:04:28 - 10-Dec-25
Buy* 36 £39.695 Automatic Execution
14:04:23 - 10-Dec-25
Buy* 36 £39.68 Automatic Execution
14:03:10 - 10-Dec-25
Sell* 110 £39.735 Automatic Execution
13:57:49 - 10-Dec-25
Sell* 69 £39.755 Automatic Execution
13:54:59 - 10-Dec-25
Sell* 81 £39.745 Automatic Execution
13:51:39 - 10-Dec-25
Sell* 46 £39.755 Automatic Execution
13:49:39 - 10-Dec-25
Sell* 78 £39.75 Automatic Execution
13:46:29 - 10-Dec-25
Sell* 58 £39.76 Automatic Execution
13:44:09 - 10-Dec-25
Sell* 83 £39.75 Automatic Execution
13:40:39 - 10-Dec-25
Sell* 29 £39.77 Automatic Execution
13:39:29 - 10-Dec-25
Sell* 35 £39.76 Automatic Execution
13:37:59 - 10-Dec-25
Sell* 35 £39.76 Automatic Execution
13:36:39 - 10-Dec-25
Sell* 111 £39.77 Automatic Execution
13:31:59 - 10-Dec-25
Sell* 42 £39.79 Automatic Execution
13:30:26 - 10-Dec-25
Buy* 30 £39.84 Automatic Execution
13:25:17 - 10-Dec-25
Buy* 30 £39.83 Automatic Execution
13:25:10 - 10-Dec-25
Buy* 20 £39.82 Automatic Execution
13:25:09 - 10-Dec-25
Buy* 38 £39.81 Automatic Execution
13:21:48 - 10-Dec-25
Buy* 38 £39.80 Automatic Execution
13:21:48 - 10-Dec-25
Buy* 38 £39.79 Automatic Execution
13:20:57 - 10-Dec-25
Buy* 19 £39.78 Automatic Execution
13:20:25 - 10-Dec-25
Buy* 35 £39.77 Automatic Execution
13:18:59 - 10-Dec-25
Buy* 29 £39.76 Automatic Execution
13:18:00 - 10-Dec-25
Sell* 84 £39.71 Automatic Execution
13:14:59 - 10-Dec-25
Sell* 19 £39.71 Automatic Execution
13:14:09 - 10-Dec-25
Sell* 36 £39.71 Automatic Execution
13:12:39 - 10-Dec-25
Sell* 34 £39.71 Automatic Execution
13:11:09 - 10-Dec-25
Sell* 53 £39.71 Automatic Execution
13:08:59 - 10-Dec-25
Sell* 80 £39.70 Automatic Execution
13:05:29 - 10-Dec-25
Sell* 73 £39.70 Automatic Execution
13:02:29 - 10-Dec-25
Sell* 40 £39.69 Automatic Execution
13:00:39 - 10-Dec-25
Sell* 29 £39.695 Automatic Execution
12:59:29 - 10-Dec-25
Sell* 64 £39.69 Automatic Execution
12:56:49 - 10-Dec-25
Sell* 56 £39.70 Automatic Execution
12:54:19 - 10-Dec-25
Sell* 34 £39.70 Automatic Execution
12:52:49 - 10-Dec-25
Sell* 50 £39.70 Automatic Execution
12:50:49 - 10-Dec-25
Sell* 22 £39.70 Automatic Execution
12:49:49 - 10-Dec-25
Sell* 37 £39.69 Automatic Execution
12:48:19 - 10-Dec-25
Sell* 26 £39.69 Automatic Execution
12:47:09 - 10-Dec-25
Sell* 46 £39.68 Automatic Execution
12:45:59 - 10-Dec-25
Sell* 78 £39.68 Automatic Execution
12:42:39 - 10-Dec-25
Sell* 80 £39.675 Automatic Execution
12:39:09 - 10-Dec-25
Sell* 76 £39.68 Automatic Execution
12:35:59 - 10-Dec-25
Sell* 27 £39.69 Automatic Execution
12:34:28 - 10-Dec-25
Sell* 36 £39.69 Automatic Execution
12:33:06 - 10-Dec-25
Sell* 29 £39.69 Automatic Execution
12:31:19 - 10-Dec-25
Sell* 23 £39.69 Automatic Execution
12:30:19 - 10-Dec-25
Sell* 53 £39.69 Automatic Execution
12:27:59 - 10-Dec-25
Sell* 48 £39.69 Automatic Execution
12:25:59 - 10-Dec-25
Sell* 72 £39.685 Automatic Execution
12:23:39 - 10-Dec-25
Sell* 27 £39.695 Automatic Execution
12:21:39 - 10-Dec-25
Sell* 23 £39.695 Automatic Execution
12:20:39 - 10-Dec-25
Sell* 50 £39.70 Automatic Execution
12:18:39 - 10-Dec-25
Sell* 23 £39.685 Automatic Execution
12:17:39 - 10-Dec-25
Sell* 21 £39.69 Automatic Execution
12:16:39 - 10-Dec-25
Sell* 39 £39.70 Automatic Execution
12:14:59 - 10-Dec-25
Sell* 32 £39.715 Automatic Execution
12:13:39 - 10-Dec-25
Sell* 33 £39.705 Automatic Execution
12:12:19 - 10-Dec-25
Sell* 21 £39.705 Automatic Execution
12:11:19 - 10-Dec-25
Sell* 26 £39.725 Automatic Execution
12:10:19 - 10-Dec-25
Sell* 9 £39.71 Automatic Execution
12:08:09 - 10-Dec-25
Buy* 2 £39.9163 Suspected BUY Trade
09:23:13 - 10-Dec-25
Buy* 1 £39.7515 Suspected BUY Trade
15:19:59 - 09-Dec-25
Sell* 1 £39.7635 Negotiated Trade
15:09:46 - 09-Dec-25
Buy* 2 £39.7815 Suspected BUY Trade
15:04:09 - 09-Dec-25
Sell* 110 £39.8378 Negotiated Trade
14:17:49 - 09-Dec-25
Sell* 8 £39.8205 Negotiated Trade
11:38:15 - 09-Dec-25
Buy* 62 £39.89506 Ordinary
11:10:36 - 09-Dec-25
Sell* 250 £40.0162 Negotiated Trade
15:57:31 - 08-Dec-25
Buy* 45 £40.0352 Suspected BUY Trade
15:36:15 - 08-Dec-25
Buy* 3 £40.037 Suspected BUY Trade
15:26:22 - 08-Dec-25
Buy* 1 £40.1455 Suspected BUY Trade
15:20:15 - 08-Dec-25
Buy* 4 £40.1255 Suspected BUY Trade
15:12:07 - 08-Dec-25
Buy* 1 £40.1795 Suspected BUY Trade
15:09:17 - 08-Dec-25
Buy* 122 £40.6209 Suspected BUY Trade
10:56:11 - 08-Dec-25
Buy* 180 £40.64 Automatic Execution
08:25:45 - 08-Dec-25
Sell* 180 £40.63 Automatic Execution
08:07:08 - 08-Dec-25
Buy* 3 £40.6355 Suspected BUY Trade
15:16:30 - 05-Dec-25
Buy* 67 £40.632 Suspected BUY Trade
15:06:49 - 05-Dec-25
Buy* 517 £40.1945 Suspected BUY Trade
12:20:49 - 05-Dec-25
Sell* 80 £40.19 SI Trade
12:14:49 - 05-Dec-25
Unknown* 80 £40.19 OTC Trade
12:14:49 - 05-Dec-25
Buy* 211 £40.32 Automatic Execution
12:08:25 - 05-Dec-25
Buy* 316 £40.36 Automatic Execution
12:05:56 - 05-Dec-25
Buy* 316 £40.36 Automatic Execution
12:05:56 - 05-Dec-25
Buy* 316 £40.36 Automatic Execution
12:05:55 - 05-Dec-25
Buy* 316 £40.345 Automatic Execution
12:05:23 - 05-Dec-25
Buy* 211 £40.345 Automatic Execution
12:05:23 - 05-Dec-25
Buy* 190 £40.30 Automatic Execution
12:02:12 - 05-Dec-25
Buy* 20 £40.319 Suspected BUY Trade
11:09:13 - 05-Dec-25
Sell* 190 £40.33 Automatic Execution
09:05:30 - 05-Dec-25
Buy* 33 £40.121 Suspected BUY Trade
15:18:18 - 04-Dec-25
Sell* 190 £40.30 Automatic Execution
14:00:25 - 04-Dec-25
Sell* 190 £40.27 Automatic Execution
14:00:14 - 04-Dec-25
Sell* 1,136 £40.26 Automatic Execution
14:00:13 - 04-Dec-25
FTSE 100 Latest
Value9,649.03
Change-54.13