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iShares GBP Corporate Bond 0-5yr UCITS ETF (IS15) Share Trades

Buy/Sell Volume Trade Prc Trade Type Trade Time
Sell* 79 £102.94527 Ordinary
12:07:42 - 13-Mar-26
Buy* 95 £103.012 Ordinary
12:05:05 - 13-Mar-26
Buy* 95 £103.0092 Ordinary
12:01:59 - 13-Mar-26
Unknown* 0 £103.01 SI Trade
12:00:00 - 13-Mar-26
Sell* 58 £102.94649 Ordinary
11:44:28 - 13-Mar-26
Buy* 92 £102.9832 Suspected BUY Trade
11:43:26 - 13-Mar-26
Buy* 1,061 £102.95742 Ordinary
11:36:47 - 13-Mar-26
Sell* 12 £102.92 Automatic Execution
11:24:14 - 13-Mar-26
Sell* 26 £102.93019 Ordinary
11:23:50 - 13-Mar-26
Buy* 315 £102.9574 Suspected BUY Trade
11:22:59 - 13-Mar-26
Buy* 6 £102.9474 Suspected BUY Trade
11:17:11 - 13-Mar-26
Buy* 22 £102.9495 Suspected BUY Trade
11:16:32 - 13-Mar-26
Buy* 60 £102.9695 Suspected BUY Trade
11:06:36 - 13-Mar-26
Buy* 30 £102.9458 Suspected BUY Trade
11:06:03 - 13-Mar-26
Sell* 409 £102.9274 Negotiated Trade
10:56:27 - 13-Mar-26
Buy* 110 £102.9495 Suspected BUY Trade
10:55:36 - 13-Mar-26
Buy* 52 £102.9353 Suspected BUY Trade
10:44:34 - 13-Mar-26
Sell* 23 £102.88994 Negotiated Trade
10:44:24 - 13-Mar-26
Buy* 1 £102.95 SI Trade
10:42:09 - 13-Mar-26
Buy* 1 £103.01 SI Trade
10:39:48 - 13-Mar-26
Buy* 1 £102.95 SI Trade
10:39:21 - 13-Mar-26
Buy* 10 £102.9453 Suspected BUY Trade
10:36:44 - 13-Mar-26
Buy* 11 £102.9374 Suspected BUY Trade
10:32:59 - 13-Mar-26
Buy* 45 £102.9395 Suspected BUY Trade
10:29:39 - 13-Mar-26
Buy* 1,240 £102.9374 Suspected BUY Trade
10:23:05 - 13-Mar-26
Unknown* 0 £102.95 SI Trade
10:22:28 - 13-Mar-26
Buy* 45 £102.9274 Suspected BUY Trade
10:03:01 - 13-Mar-26
Buy* 2 £102.9132 Suspected BUY Trade
10:01:12 - 13-Mar-26
Sell* 72 £102.81 Automatic Execution
09:53:38 - 13-Mar-26
Sell* 324 £102.81 Automatic Execution
09:53:38 - 13-Mar-26
Sell* 486 £102.81 Automatic Execution
09:53:38 - 13-Mar-26
Sell* 145 £102.84 Automatic Execution
09:53:38 - 13-Mar-26
Sell* 595 £102.85 Automatic Execution
09:53:38 - 13-Mar-26
Sell* 58 £102.90 Automatic Execution
09:53:38 - 13-Mar-26
Buy* 100 £102.9709 Ordinary
09:51:54 - 13-Mar-26
Buy* 45 £102.9443 Ordinary
09:44:31 - 13-Mar-26
Buy* 8 £102.9564 Suspected BUY Trade
09:32:10 - 13-Mar-26
Sell* 15 £102.897 Negotiated Trade
09:20:30 - 13-Mar-26
Buy* 1 £102.9894 Suspected BUY Trade
09:19:56 - 13-Mar-26
Buy* 99 £102.956 Ordinary
09:12:46 - 13-Mar-26
Sell* 5 £102.88988 Negotiated Trade
09:01:37 - 13-Mar-26
Buy* 600 £102.88 Automatic Execution
08:59:27 - 13-Mar-26
Buy* 2 £103.01 SI Trade
08:53:10 - 13-Mar-26
Buy* 75 £103.00 Automatic Execution
08:50:54 - 13-Mar-26
Buy* 1 £102.974 Suspected BUY Trade
08:48:27 - 13-Mar-26
Buy* 1 £102.9658 Suspected BUY Trade
08:35:51 - 13-Mar-26
Sell* 1 £102.70 SI Trade
08:10:14 - 13-Mar-26
Buy* 35 £103.0287 Suspected BUY Trade
08:04:51 - 13-Mar-26
Buy* 898 £102.9975 Suspected BUY Trade
08:04:42 - 13-Mar-26
Buy* 404 £102.9991 Suspected BUY Trade
08:02:47 - 13-Mar-26
Buy* 37 £102.9936 Suspected BUY Trade
08:01:45 - 13-Mar-26
Unknown* 160 £102.7607 OTC Trade
08:01:44 - 13-Mar-26
Unknown* 0 £103.39 SI Trade
08:01:26 - 13-Mar-26
Unknown* 0 £103.39 SI Trade
08:01:26 - 13-Mar-26
Unknown* 0 £103.39 SI Trade
08:01:26 - 13-Mar-26
Buy* 3 £103.39 SI Trade
08:01:26 - 13-Mar-26
Buy* 116 £102.995 Ordinary
08:00:55 - 13-Mar-26
Sell* 4 £102.9188 Negotiated Trade
16:29:42 - 12-Mar-26
Buy* 20 £103.0364 Suspected BUY Trade
16:25:52 - 12-Mar-26
Sell* 41 £102.90 Automatic Execution
16:23:42 - 12-Mar-26
Buy* 194 £103.0127 Suspected BUY Trade
16:13:58 - 12-Mar-26
Buy* 684 £103.05 Automatic Execution
16:08:42 - 12-Mar-26
Buy* 40 £103.0176 Ordinary
16:06:17 - 12-Mar-26
Sell* 180 £102.90 Automatic Execution
15:53:14 - 12-Mar-26
Sell* 7 £102.9222 Negotiated Trade
15:52:32 - 12-Mar-26
Buy* 5 £103.0001 Suspected BUY Trade
15:42:28 - 12-Mar-26
Buy* 115 £102.99217 Ordinary
15:31:29 - 12-Mar-26
Unknown* 0 £103.02 SI Trade
15:30:58 - 12-Mar-26
Sell* 225 £102.90846 Negotiated Trade
15:28:08 - 12-Mar-26
Buy* 485 £102.98192 Ordinary
15:27:56 - 12-Mar-26
Sell* 14 £102.89 SI Trade
15:25:28 - 12-Mar-26
Buy* 155 £102.9779 Suspected BUY Trade
15:23:52 - 12-Mar-26
Unknown* 0 £103.05 SI Trade
15:08:28 - 12-Mar-26
Unknown* 0 £103.05 SI Trade
15:08:28 - 12-Mar-26
Buy* 291 £103.02174 Ordinary
15:06:50 - 12-Mar-26
Sell* 13 £102.95 Negotiated Trade
15:03:29 - 12-Mar-26
Sell* 84 £102.9273 SI Trade
15:02:34 - 12-Mar-26
Buy* 43 £103.0527 Suspected BUY Trade
15:00:58 - 12-Mar-26
Sell* 1,846 £102.9788 Negotiated Trade
14:47:08 - 12-Mar-26
Buy* 426 £103.05947 Ordinary
14:42:38 - 12-Mar-26
Unknown* 0 £102.96 SI Trade
14:38:44 - 12-Mar-26
Sell* 7 £102.9813 Negotiated Trade
14:34:31 - 12-Mar-26
Sell* 5 £103.01704 Negotiated Trade
14:11:22 - 12-Mar-26
Sell* 1,620 £103.01845 Ordinary
14:09:31 - 12-Mar-26
Buy* 53 £103.1188 Suspected BUY Trade
14:08:26 - 12-Mar-26
Sell* 44 £103.01704 Negotiated Trade
14:08:19 - 12-Mar-26
Sell* 3 £103.01 Automatic Execution
14:06:59 - 12-Mar-26
Sell* 1,519 £103.02106 Negotiated Trade
14:05:50 - 12-Mar-26
Sell* 584 £103.02842 Ordinary
14:03:30 - 12-Mar-26
Sell* 150 £103.01406 Ordinary
13:58:49 - 12-Mar-26
Sell* 69 £103.00378 Ordinary
13:17:36 - 12-Mar-26
Buy* 55 £103.109 Suspected BUY Trade
13:10:57 - 12-Mar-26
Buy* 30 £103.099 Suspected BUY Trade
12:41:27 - 12-Mar-26
Sell* 57 £103.03 Automatic Execution
12:27:39 - 12-Mar-26
Sell* 377 £103.0442 Negotiated Trade
12:22:52 - 12-Mar-26
Sell* 82 £103.13 Automatic Execution
12:19:16 - 12-Mar-26
Sell* 119 £103.13 Automatic Execution
12:19:16 - 12-Mar-26
Sell* 103 £103.13 Automatic Execution
12:19:16 - 12-Mar-26
Sell* 90 £103.13 Automatic Execution
12:19:16 - 12-Mar-26
Buy* 324 £103.13 Automatic Execution
12:17:53 - 12-Mar-26
Buy* 179 £103.12 Automatic Execution
12:17:53 - 12-Mar-26
Buy* 93 £103.12 Automatic Execution
12:17:53 - 12-Mar-26
Buy* 4 £103.1211 Suspected BUY Trade
12:17:18 - 12-Mar-26
Sell* 78 £103.06278 Negotiated Trade
12:07:00 - 12-Mar-26
Buy* 1,375 £103.139 Suspected BUY Trade
12:00:37 - 12-Mar-26
Unknown* 0 £103.18 SI Trade
11:50:23 - 12-Mar-26
Buy* 1,100 £103.1611 Suspected BUY Trade
11:46:18 - 12-Mar-26
Buy* 259 £103.14 Automatic Execution
11:15:18 - 12-Mar-26
Sell* 192 £103.0744 Negotiated Trade
11:12:06 - 12-Mar-26
Unknown* 0 £103.06 SI Trade
11:11:15 - 12-Mar-26
Buy* 70 £103.1342 Ordinary
11:08:18 - 12-Mar-26
Buy* 97 £103.1385 Ordinary
11:07:35 - 12-Mar-26
Sell* 49 £103.0758 Ordinary
11:07:19 - 12-Mar-26
Unknown* 0 £103.16 SI Trade
11:06:22 - 12-Mar-26
Sell* 160 £103.06 Automatic Execution
11:06:22 - 12-Mar-26
Buy* 56 £103.16 SI Trade
11:05:22 - 12-Mar-26
Buy* 32 £103.139 Suspected BUY Trade
11:03:45 - 12-Mar-26
Buy* 2,731 £103.142 Suspected BUY Trade
11:01:15 - 12-Mar-26
Sell* 14 £103.0742 Negotiated Trade
10:57:51 - 12-Mar-26
Buy* 5 £103.16 SI Trade
10:45:47 - 12-Mar-26
Sell* 2,988 £103.08191 Ordinary
10:45:27 - 12-Mar-26
Sell* 62 £103.08278 Negotiated Trade
10:45:27 - 12-Mar-26
Buy* 9 £103.16 SI Trade
10:45:26 - 12-Mar-26
Buy* 1 £103.16 SI Trade
10:42:10 - 12-Mar-26
Buy* 23 £103.1411 Suspected BUY Trade
10:41:00 - 12-Mar-26
Unknown* 10 £103.0683 OTC Trade
10:32:42 - 12-Mar-26
Unknown* 0 £103.15 SI Trade
10:25:43 - 12-Mar-26
Sell* 5 £103.0642 Negotiated Trade
10:17:20 - 12-Mar-26
Sell* 37 £103.10 Automatic Execution
10:09:55 - 12-Mar-26
Sell* 478 £103.1072 Negotiated Trade
10:02:00 - 12-Mar-26
Sell* 12 £103.10852 Negotiated Trade
10:01:36 - 12-Mar-26
Sell* 11 £103.1126 Negotiated Trade
09:58:11 - 12-Mar-26
Buy* 50 £103.1474 Suspected BUY Trade
09:53:09 - 12-Mar-26
Buy* 80 £103.17 Automatic Execution
09:52:10 - 12-Mar-26
Buy* 150 £103.1474 Suspected BUY Trade
09:44:10 - 12-Mar-26
Buy* 30 £103.1492 Suspected BUY Trade
09:43:55 - 12-Mar-26
Sell* 17 £103.10852 Negotiated Trade
09:43:37 - 12-Mar-26
Sell* 120 £103.106 Negotiated Trade
09:43:12 - 12-Mar-26
Sell* 55 £103.1096 Ordinary
09:11:23 - 12-Mar-26
Sell* 120 £103.1089 Ordinary
09:10:44 - 12-Mar-26
Buy* 25 £103.1109 Ordinary
09:08:32 - 12-Mar-26
Sell* 173 £103.10 Automatic Execution
09:07:18 - 12-Mar-26
Buy* 80 £103.1192 Ordinary
09:06:54 - 12-Mar-26
Sell* 2 £103.1054 Negotiated Trade
09:03:56 - 12-Mar-26
Sell* 120 £103.10426 Negotiated Trade
09:02:04 - 12-Mar-26
Sell* 10 £103.1117 Ordinary
09:01:02 - 12-Mar-26
Sell* 70 £103.1072 Negotiated Trade
08:56:12 - 12-Mar-26
Sell* 124 £103.1072 Negotiated Trade
08:55:53 - 12-Mar-26
Unknown* 775 £103.1306 OTC Trade
08:54:45 - 12-Mar-26
Sell* 1 £103.10 SI Trade
08:53:00 - 12-Mar-26
Unknown* 0 £103.10 SI Trade
08:50:38 - 12-Mar-26
Buy* 7 £103.19 SI Trade
08:44:52 - 12-Mar-26
Buy* 3 £103.21 SI Trade
08:44:51 - 12-Mar-26
Buy* 1,599 £103.09121 Ordinary
08:29:03 - 12-Mar-26
Unknown* 156 £103.1348 OTC Trade
08:25:30 - 12-Mar-26
Sell* 345 £103.08939 Ordinary
08:25:01 - 12-Mar-26
Unknown* 0 £103.14 SI Trade
08:24:56 - 12-Mar-26
Sell* 80 £103.09084 Ordinary
08:23:32 - 12-Mar-26
Buy* 180 £103.1899 Ordinary
08:11:51 - 12-Mar-26
Sell* 14,999 £103.0771 Negotiated Trade
08:11:34 - 12-Mar-26
Sell* 1,283 £103.077 Negotiated Trade
08:09:29 - 12-Mar-26
Sell* 1,946 £103.0573 Negotiated Trade
08:02:46 - 12-Mar-26
Buy* 17 £103.1748 Suspected BUY Trade
16:27:19 - 11-Mar-26
Buy* 680 £103.09 Automatic Execution
16:23:30 - 11-Mar-26
Buy* 51 £103.09 Automatic Execution
16:23:30 - 11-Mar-26
Buy* 100 £103.09 Automatic Execution
16:23:30 - 11-Mar-26
Buy* 50 £103.10 Automatic Execution
16:23:15 - 11-Mar-26
Sell* 3 £103.08 Negotiated Trade
16:22:29 - 11-Mar-26
Sell* 3 £103.08 Automatic Execution
16:22:29 - 11-Mar-26
Buy* 1,407 £103.09 Automatic Execution
16:12:50 - 11-Mar-26
Buy* 6 £103.09 Automatic Execution
16:12:43 - 11-Mar-26
Buy* 50 £103.09 Automatic Execution
16:12:36 - 11-Mar-26
Sell* 59 £103.09 Automatic Execution
16:12:36 - 11-Mar-26
Buy* 388 £103.1675 Ordinary
16:07:58 - 11-Mar-26
Buy* 1,599 £103.17464 Ordinary
16:04:08 - 11-Mar-26
Sell* 50 £103.11 Automatic Execution
16:02:39 - 11-Mar-26
Buy* 10 £103.2069 Suspected BUY Trade
15:57:06 - 11-Mar-26
Sell* 23 £103.1361 Ordinary
15:53:50 - 11-Mar-26
Buy* 4 £103.2102 Suspected BUY Trade
15:52:46 - 11-Mar-26
Buy* 95 £103.2242 SI Trade
15:44:11 - 11-Mar-26
Buy* 1 £103.2327 Suspected BUY Trade
15:43:42 - 11-Mar-26
Sell* 87 £103.1459 Ordinary
15:39:49 - 11-Mar-26
Buy* 63 £103.2169 Suspected BUY Trade
15:39:45 - 11-Mar-26
Buy* 3 £103.24 Automatic Execution
15:39:24 - 11-Mar-26
Buy* 5 £103.2169 Suspected BUY Trade
15:37:54 - 11-Mar-26
Sell* 3,000 £103.14678 Ordinary
15:36:46 - 11-Mar-26
Sell* 198 £103.13 SI Trade
15:35:43 - 11-Mar-26
Buy* 5 £103.24 SI Trade
15:31:30 - 11-Mar-26
Buy* 43 £103.24 Automatic Execution
15:31:18 - 11-Mar-26
Buy* 75 £103.2148 Suspected BUY Trade
15:24:37 - 11-Mar-26
Sell* 21 £103.13704 Negotiated Trade
15:22:52 - 11-Mar-26
Sell* 297 £103.12 Automatic Execution
15:17:54 - 11-Mar-26
Sell* 462 £103.13 Automatic Execution
15:17:54 - 11-Mar-26
Sell* 3 £103.13 Automatic Execution
15:17:54 - 11-Mar-26
Sell* 648 £103.13 Automatic Execution
15:17:54 - 11-Mar-26
Buy* 100 £103.15 Automatic Execution
15:16:27 - 11-Mar-26
Buy* 250 £103.15 Automatic Execution
15:16:27 - 11-Mar-26
Unknown* 25 £103.22 OTC Trade
15:13:33 - 11-Mar-26
Sell* 648 £103.18 Automatic Execution
14:56:59 - 11-Mar-26
Sell* 487 £103.19 Automatic Execution
14:56:59 - 11-Mar-26
FTSE 100 Latest
Value10,325.44
Change20.29