Buy/Sell | Volume | Trade Prc | Trade Type | Trade Time |
---|---|---|---|---|
Sell* | 804 | £13.714 | Automatic Execution |
15:17:18 - 30-Jul-25 |
Sell* | 1,330 | £13.73 | Automatic Execution |
15:07:56 - 30-Jul-25 |
Sell* | 1,330 | £13.75 | Automatic Execution |
15:06:00 - 29-Jul-25 |
Sell* | 496 | £13.768 | Automatic Execution |
12:11:57 - 29-Jul-25 |
Sell* | 1,320 | £13.796 | Automatic Execution |
15:39:31 - 25-Jul-25 |
Sell* | 1,320 | £13.796 | Automatic Execution |
15:39:26 - 25-Jul-25 |
Buy* | 1,320 | £13.792 | Automatic Execution |
15:39:21 - 25-Jul-25 |
Buy* | 1,320 | £13.77 | Automatic Execution |
14:12:00 - 25-Jul-25 |
Buy* | 1,320 | £13.77 | Automatic Execution |
14:11:27 - 25-Jul-25 |
Buy* | 1,320 | £13.80 | Automatic Execution |
10:18:56 - 25-Jul-25 |
Buy* | 1,320 | £13.80 | Automatic Execution |
10:14:57 - 25-Jul-25 |
Buy* | 1,320 | £13.80 | Automatic Execution |
10:14:40 - 25-Jul-25 |
Sell* | 720 | £13.67426 | Negotiated Trade |
12:44:51 - 20-Jun-25 |
Sell* | 3,790 | £13.732 | Automatic Execution |
09:08:43 - 15-May-25 |
Sell* | 610 | £13.728 | Automatic Execution |
09:08:40 - 15-May-25 |
Buy* | 1,300 | £13.724 | Automatic Execution |
09:08:40 - 15-May-25 |
Buy* | 1,300 | £13.724 | Automatic Execution |
09:08:33 - 15-May-25 |
Buy* | 1,260 | £13.376 | Automatic Execution |
13:57:09 - 30-Apr-25 |
Buy* | 5,886 | £13.364 | Automatic Execution |
13:57:09 - 30-Apr-25 |
Sell* | 1,260 | £13.296 | Automatic Execution |
15:05:44 - 25-Apr-25 |
Buy* | 560 | £13.518 | Automatic Execution |
09:26:47 - 11-Mar-25 |