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Jpm Gbp Ults Ga (JGSA) Share Trades

Buy/Sell Volume Trade Prc Trade Type Trade Time
Buy* 2,494 £118.521 Suspected BUY Trade
16:22:16 - 12-Dec-25
Buy* 272 £118.5294 Suspected BUY Trade
16:03:15 - 12-Dec-25
Buy* 84 £118.521 Suspected BUY Trade
16:02:44 - 12-Dec-25
Buy* 1 £118.5332 Suspected BUY Trade
15:10:54 - 12-Dec-25
Buy* 10 £118.5334 Suspected BUY Trade
15:09:30 - 12-Dec-25
Buy* 1 £118.5335 Suspected BUY Trade
15:08:53 - 12-Dec-25
Buy* 1 £118.5333 Suspected BUY Trade
15:08:31 - 12-Dec-25
Buy* 1 £118.5333 Suspected BUY Trade
15:08:15 - 12-Dec-25
Buy* 1 £118.5339 Suspected BUY Trade
15:06:41 - 12-Dec-25
Buy* 1 £118.5338 Suspected BUY Trade
15:06:04 - 12-Dec-25
Buy* 1 £118.534 Suspected BUY Trade
15:05:48 - 12-Dec-25
Buy* 1 £118.5336 Suspected BUY Trade
15:05:29 - 12-Dec-25
Sell* 135 £118.5008 Negotiated Trade
14:58:07 - 12-Dec-25
Buy* 17 £118.54 Automatic Execution
14:52:07 - 12-Dec-25
Sell* 778 £118.515 Automatic Execution
14:35:22 - 12-Dec-25
Buy* 24 £118.53248 Ordinary
14:13:38 - 12-Dec-25
Buy* 58 £118.5395 Suspected BUY Trade
14:02:35 - 12-Dec-25
Buy* 12 £118.5493 Suspected BUY Trade
13:50:41 - 12-Dec-25
Unknown* 0 £118.525 SI Trade
13:06:04 - 12-Dec-25
Buy* 1 £118.55 SI Trade
12:36:33 - 12-Dec-25
Unknown* 0 £118.56 SI Trade
12:28:27 - 12-Dec-25
Buy* 1,181 £118.54611 Ordinary
12:18:18 - 12-Dec-25
Buy* 5 £118.56 SI Trade
12:13:04 - 12-Dec-25
Sell* 211 £118.524 Negotiated Trade
11:47:07 - 12-Dec-25
Sell* 127 £118.524 Negotiated Trade
10:46:50 - 12-Dec-25
Sell* 211 £118.524 Negotiated Trade
10:41:55 - 12-Dec-25
Sell* 638 £118.53471 Ordinary
10:24:39 - 12-Dec-25
Buy* 85 £118.53844 Ordinary
10:16:05 - 12-Dec-25
Sell* 3 £118.5185 Negotiated Trade
09:56:04 - 12-Dec-25
Sell* 106 £118.5235 Negotiated Trade
08:56:27 - 12-Dec-25
Sell* 1 £118.5207 Negotiated Trade
08:46:58 - 12-Dec-25
Sell* 778 £118.54 Automatic Execution
08:39:36 - 12-Dec-25
Sell* 778 £118.545 Automatic Execution
08:38:58 - 12-Dec-25
Buy* 2 £118.5737 Suspected BUY Trade
08:33:09 - 12-Dec-25
Buy* 35 £118.535 SI Trade
08:25:45 - 12-Dec-25
Unknown* 0 £118.525 SI Trade
08:14:11 - 12-Dec-25
Unknown* 0 £118.555 SI Trade
08:12:10 - 12-Dec-25
Sell* 8 £118.435 SI Trade
08:08:20 - 12-Dec-25
Sell* 5 £118.465 SI Trade
16:14:56 - 11-Dec-25
Sell* 150 £118.4718 Negotiated Trade
15:24:49 - 11-Dec-25
Sell* 254 £118.4725 Negotiated Trade
15:22:08 - 11-Dec-25
Sell* 42 £118.4727 Negotiated Trade
15:16:44 - 11-Dec-25
Sell* 17 £118.47 SI Trade
15:06:14 - 11-Dec-25
Unknown* 17 £118.47 OTC Trade
15:06:14 - 11-Dec-25
Sell* 172 £118.4761 Negotiated Trade
15:01:57 - 11-Dec-25
Unknown* 0 £118.52 SI Trade
14:59:04 - 11-Dec-25
Buy* 2 £118.52 SI Trade
14:36:34 - 11-Dec-25
Buy* 5 £118.50054 Ordinary
14:06:21 - 11-Dec-25
Unknown* 0 £118.52 SI Trade
14:05:57 - 11-Dec-25
Sell* 8 £118.465 Automatic Execution
12:56:30 - 11-Dec-25
Sell* 5 £118.465 Automatic Execution
12:56:29 - 11-Dec-25
Sell* 8 £118.465 Automatic Execution
12:56:16 - 11-Dec-25
Sell* 14 £118.465 Automatic Execution
12:56:06 - 11-Dec-25
Sell* 2 £118.48 Automatic Execution
12:55:43 - 11-Dec-25
Sell* 8 £118.48 Automatic Execution
12:55:28 - 11-Dec-25
Sell* 8 £118.48 Automatic Execution
12:55:10 - 11-Dec-25
Sell* 8 £118.48 Automatic Execution
12:54:53 - 11-Dec-25
Sell* 8 £118.48 Automatic Execution
12:54:37 - 11-Dec-25
Sell* 8 £118.48 Automatic Execution
12:54:23 - 11-Dec-25
Sell* 8 £118.48 Automatic Execution
12:54:02 - 11-Dec-25
Sell* 85 £118.48126 Negotiated Trade
12:50:09 - 11-Dec-25
Buy* 1 £118.53 Automatic Execution
12:31:04 - 11-Dec-25
Buy* 8 £118.52053 Ordinary
11:59:06 - 11-Dec-25
Sell* 3 £118.48 Negotiated Trade
11:48:52 - 11-Dec-25
Unknown* 0 £118.54 SI Trade
11:26:25 - 11-Dec-25
Sell* 60 £118.4665 Negotiated Trade
10:45:54 - 11-Dec-25
Sell* 1 £118.465 Negotiated Trade
10:17:39 - 11-Dec-25
Sell* 42 £118.4714 Negotiated Trade
09:56:45 - 11-Dec-25
Sell* 364 £118.47 Automatic Execution
09:51:13 - 11-Dec-25
Sell* 700 £118.485 Automatic Execution
09:48:56 - 11-Dec-25
Sell* 1,064 £118.48626 Negotiated Trade
09:45:18 - 11-Dec-25
Sell* 93 £118.50 Automatic Execution
09:22:08 - 11-Dec-25
Buy* 22 £118.52331 Ordinary
09:17:22 - 11-Dec-25
Sell* 2 £118.505 SI Trade
08:56:23 - 11-Dec-25
Buy* 590 £118.47 Automatic Execution
08:55:37 - 11-Dec-25
Sell* 1 £118.45 SI Trade
08:29:33 - 11-Dec-25
Unknown* 0 £118.47 SI Trade
08:13:56 - 11-Dec-25
Unknown* 0 £118.47 SI Trade
08:03:16 - 11-Dec-25
Unknown* 0 £118.47 SI Trade
08:03:16 - 11-Dec-25
Unknown* 0 £118.29 SI Trade
08:03:16 - 11-Dec-25
Buy* 2 £118.47 Automatic Execution
08:03:16 - 11-Dec-25
Sell* 7 £118.445 Automatic Execution
08:03:14 - 11-Dec-25
Sell* 14 £118.445 Automatic Execution
08:03:14 - 11-Dec-25
Sell* 18 £118.445 Automatic Execution
08:03:14 - 11-Dec-25
Sell* 42 £118.44952 Ordinary
15:54:51 - 10-Dec-25
Sell* 4 £118.45 Result of RFQ
15:38:07 - 10-Dec-25
Unknown* 0 £118.465 SI Trade
14:06:43 - 10-Dec-25
Unknown* 0 £118.465 SI Trade
13:27:55 - 10-Dec-25
Sell* 92 £118.4496 Ordinary
13:11:03 - 10-Dec-25
Unknown* 0 £118.44 SI Trade
13:10:39 - 10-Dec-25
Buy* 27 £118.461 Suspected BUY Trade
13:00:29 - 10-Dec-25
Unknown* 0 £118.44 SI Trade
12:58:16 - 10-Dec-25
Sell* 4 £118.435 Automatic Execution
12:58:14 - 10-Dec-25
Sell* 438 £118.43 Automatic Execution
12:31:00 - 10-Dec-25
Buy* 49 £118.456 Suspected BUY Trade
12:25:48 - 10-Dec-25
Unknown* 0 £118.47 SI Trade
11:58:52 - 10-Dec-25
Buy* 1 £118.465 SI Trade
11:54:27 - 10-Dec-25
Unknown* 1 £118.465 OTC Trade
11:54:27 - 10-Dec-25
Buy* 42 £118.4546 Ordinary
10:55:31 - 10-Dec-25
Buy* 9 £118.456 Suspected BUY Trade
10:52:53 - 10-Dec-25
Sell* 2 £118.425 Negotiated Trade
10:13:52 - 10-Dec-25
Unknown* 0 £118.465 SI Trade
10:02:11 - 10-Dec-25
Unknown* 1 £118.465 OTC Trade
10:02:10 - 10-Dec-25
Buy* 1 £118.465 SI Trade
10:02:10 - 10-Dec-25
Unknown* 0 £118.465 SI Trade
10:02:10 - 10-Dec-25
Unknown* 0 £118.465 SI Trade
10:02:10 - 10-Dec-25
Unknown* 1 £118.465 OTC Trade
10:02:08 - 10-Dec-25
Buy* 1 £118.465 SI Trade
10:02:08 - 10-Dec-25
Buy* 1 £118.465 SI Trade
10:02:08 - 10-Dec-25
Buy* 118 £118.4642 Suspected BUY Trade
09:52:22 - 10-Dec-25
Buy* 1 £118.465 SI Trade
09:51:28 - 10-Dec-25
Unknown* 1 £118.465 OTC Trade
09:51:28 - 10-Dec-25
Buy* 1 £118.465 SI Trade
09:51:27 - 10-Dec-25
Buy* 1 £118.465 SI Trade
09:51:26 - 10-Dec-25
Unknown* 1 £118.465 OTC Trade
09:51:26 - 10-Dec-25
Unknown* 0 £118.465 SI Trade
09:51:25 - 10-Dec-25
Sell* 6 £118.4307 Negotiated Trade
09:49:10 - 10-Dec-25
Buy* 19 £118.465 SI Trade
09:25:21 - 10-Dec-25
Unknown* 19 £118.465 OTC Trade
09:25:21 - 10-Dec-25
Buy* 11 £118.4545 Suspected BUY Trade
09:23:42 - 10-Dec-25
Sell* 157 £118.45 Result of RFQ
08:27:32 - 10-Dec-25
Buy* 500 £118.455 Result of RFQ
08:27:29 - 10-Dec-25
Buy* 500 £118.455 Result of RFQ
08:27:25 - 10-Dec-25
Unknown* 0 £118.41 SI Trade
08:18:36 - 10-Dec-25
Buy* 5 £118.41 Automatic Execution
08:18:36 - 10-Dec-25
Buy* 1 £118.41 SI Trade
08:17:17 - 10-Dec-25
Unknown* 1 £118.41 OTC Trade
08:17:17 - 10-Dec-25
Unknown* 0 £118.41 SI Trade
08:15:42 - 10-Dec-25
Unknown* 0 £118.41 SI Trade
08:14:22 - 10-Dec-25
Unknown* 0 £118.41 SI Trade
08:14:22 - 10-Dec-25
Unknown* 0 £118.41 SI Trade
08:14:22 - 10-Dec-25
Unknown* 0 £118.41 SI Trade
08:14:22 - 10-Dec-25
Buy* 1 £118.41 SI Trade
08:14:22 - 10-Dec-25
Unknown* 1 £118.41 OTC Trade
08:14:22 - 10-Dec-25
Unknown* 1 £118.41 OTC Trade
08:14:22 - 10-Dec-25
Buy* 1 £118.41 SI Trade
08:14:22 - 10-Dec-25
Unknown* 0 £118.41 SI Trade
08:14:21 - 10-Dec-25
Unknown* 0 £118.41 SI Trade
08:14:21 - 10-Dec-25
Unknown* 0 £118.41 SI Trade
08:14:21 - 10-Dec-25
Unknown* 0 £118.41 SI Trade
08:14:21 - 10-Dec-25
Buy* 1 £118.41 SI Trade
08:14:21 - 10-Dec-25
Unknown* 1 £118.41 OTC Trade
08:14:21 - 10-Dec-25
Buy* 1 £118.41 SI Trade
08:14:21 - 10-Dec-25
Unknown* 1 £118.41 OTC Trade
08:14:21 - 10-Dec-25
Buy* 1 £118.41 SI Trade
08:14:21 - 10-Dec-25
Buy* 1 £118.41 SI Trade
08:14:20 - 10-Dec-25
Unknown* 1 £118.41 OTC Trade
08:14:20 - 10-Dec-25
Buy* 1 £118.41 SI Trade
08:14:20 - 10-Dec-25
Buy* 1 £118.41 SI Trade
08:14:15 - 10-Dec-25
Unknown* 1 £118.41 OTC Trade
08:14:15 - 10-Dec-25
Buy* 20 £118.41 Automatic Execution
08:14:15 - 10-Dec-25
Buy* 1 £118.475 SI Trade
08:14:15 - 10-Dec-25
Unknown* 0 £118.475 SI Trade
08:14:15 - 10-Dec-25
Buy* 1 £118.41 SI Trade
08:14:13 - 10-Dec-25
Unknown* 1 £118.41 OTC Trade
08:14:12 - 10-Dec-25
Buy* 1 £118.41 SI Trade
08:14:12 - 10-Dec-25
Unknown* 0 £118.5107 SI Trade
08:14:12 - 10-Dec-25
Unknown* 0 £118.5107 SI Trade
08:14:12 - 10-Dec-25
Unknown* 0 £118.5107 SI Trade
08:14:12 - 10-Dec-25
Buy* 1,182 £118.40832 Suspected BUY Trade
08:11:59 - 10-Dec-25
Sell* 53 £118.29 SI Trade
08:03:41 - 10-Dec-25
Unknown* 53 £118.29 OTC Trade
08:03:41 - 10-Dec-25
Sell* 107 £118.395 Negotiated Trade
16:12:57 - 09-Dec-25
Sell* 17 £118.42 Automatic Execution
16:00:45 - 09-Dec-25
Buy* 4 £118.425 Automatic Execution
15:56:20 - 09-Dec-25
Unknown* 0 £118.385 SI Trade
15:49:46 - 09-Dec-25
Sell* 45 £118.3865 Negotiated Trade
15:35:41 - 09-Dec-25
Buy* 12 £118.425 Suspected BUY Trade
13:43:21 - 09-Dec-25
Buy* 4 £118.45 SI Trade
13:39:33 - 09-Dec-25
Buy* 8 £118.42 Suspected BUY Trade
13:37:44 - 09-Dec-25
Sell* 1,819 £118.392 Negotiated Trade
12:59:06 - 09-Dec-25
Sell* 3 £118.38 SI Trade
12:58:41 - 09-Dec-25
Buy* 4 £118.42 Suspected BUY Trade
12:45:07 - 09-Dec-25
Sell* 237 £118.392 Negotiated Trade
11:48:39 - 09-Dec-25
Buy* 45 £118.4243 Suspected BUY Trade
09:48:51 - 09-Dec-25
Buy* 293 £118.395 Automatic Execution
09:13:38 - 09-Dec-25
Buy* 67 £118.3948 Suspected BUY Trade
09:07:11 - 09-Dec-25
Buy* 96 £118.37 Automatic Execution
09:03:22 - 09-Dec-25
Sell* 293 £118.395 Automatic Execution
09:03:22 - 09-Dec-25
Buy* 168 £118.40977 Ordinary
08:54:35 - 09-Dec-25
Sell* 293 £118.395 Automatic Execution
08:41:59 - 09-Dec-25
Buy* 123 £118.40 Automatic Execution
08:39:55 - 09-Dec-25
Unknown* 0 £118.45 SI Trade
08:10:34 - 09-Dec-25
Unknown* 2 £118.446 Negotiated Trade
08:03:02 - 09-Dec-25
Unknown* 75 £118.4481 Negotiated Trade
08:02:06 - 09-Dec-25
Sell* 19 £118.4102 Negotiated Trade
16:18:11 - 08-Dec-25
Sell* 4 £118.41 SI Trade
16:07:39 - 08-Dec-25
Buy* 47 £118.4247 Suspected BUY Trade
16:07:14 - 08-Dec-25
Sell* 26 £118.41 SI Trade
15:41:33 - 08-Dec-25
Sell* 18 £118.41 SI Trade
15:41:31 - 08-Dec-25
Sell* 30 £118.4102 Negotiated Trade
15:34:57 - 08-Dec-25
Sell* 127 £118.41 Automatic Execution
15:21:11 - 08-Dec-25
Sell* 127 £118.41021 Negotiated Trade
15:20:45 - 08-Dec-25
Sell* 5 £118.41 Negotiated Trade
15:19:50 - 08-Dec-25
Buy* 5 £118.425 SI Trade
14:56:47 - 08-Dec-25
Buy* 2 £118.4295 Suspected BUY Trade
14:44:55 - 08-Dec-25
Unknown* 0 £118.47 SI Trade
14:31:40 - 08-Dec-25
Buy* 84 £118.43115 Ordinary
14:30:17 - 08-Dec-25
Buy* 153 £118.4371 Suspected BUY Trade
13:24:50 - 08-Dec-25
Buy* 245 £118.435 Automatic Execution
12:27:14 - 08-Dec-25
FTSE 100 Latest
Value9,649.03
Change-54.13