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Ams&p 500ii Acc (SP5L) Share Trades

Buy/Sell Volume Trade Prc Trade Type Trade Time
Sell* 63 £365.00 Automatic Execution
15:56:04 - 06-Feb-26
Sell* 2 £365.46 Negotiated Trade
15:32:52 - 06-Feb-26
Buy* 1 £364.93 Automatic Execution
15:25:14 - 06-Feb-26
Sell* 16 £364.1755 Negotiated Trade
15:16:32 - 06-Feb-26
Unknown* 524 £364.3823 OTC Trade
15:03:51 - 06-Feb-26
Sell* 94 £364.66 Automatic Execution
14:41:49 - 06-Feb-26
Sell* 2 £363.55 Negotiated Trade
14:21:21 - 06-Feb-26
Buy* 2 £363.5875 Suspected BUY Trade
14:15:15 - 06-Feb-26
Sell* 1 £363.3535 Negotiated Trade
14:05:23 - 06-Feb-26
Unknown* 2 £363.50 Negotiated Trade
14:03:16 - 06-Feb-26
Sell* 15 £363.326 Negotiated Trade
14:02:41 - 06-Feb-26
Buy* 307 £363.70 Automatic Execution
13:39:29 - 06-Feb-26
Buy* 106 £363.26 Automatic Execution
12:56:44 - 06-Feb-26
Sell* 27 £363.31345 Ordinary
12:37:54 - 06-Feb-26
Sell* 13 £363.53 Automatic Execution
11:32:39 - 06-Feb-26
Sell* 4 £362.8335 Negotiated Trade
10:19:15 - 06-Feb-26
Sell* 136 £363.39 Automatic Execution
09:41:31 - 06-Feb-26
Buy* 9 £362.30 Automatic Execution
09:09:59 - 06-Feb-26
Buy* 153 £362.29 Automatic Execution
09:09:59 - 06-Feb-26
Buy* 9 £362.31 Automatic Execution
09:09:03 - 06-Feb-26
Buy* 1 £361.80 Automatic Execution
08:31:26 - 06-Feb-26
Buy* 17 £361.1702 Suspected BUY Trade
08:03:12 - 06-Feb-26
Sell* 1 £361.69 Automatic Execution
08:01:04 - 06-Feb-26
Sell* 22 £362.6855 Negotiated Trade
15:22:44 - 05-Feb-26
Buy* 9 £363.76 Automatic Execution
15:01:58 - 05-Feb-26
Buy* 9 £363.72 Automatic Execution
15:01:19 - 05-Feb-26
Sell* 20 £363.62 Automatic Execution
15:01:12 - 05-Feb-26
Sell* 9 £364.20 Automatic Execution
14:01:18 - 05-Feb-26
Buy* 152 £364.12 Automatic Execution
13:50:29 - 05-Feb-26
Buy* 161 £364.68 Automatic Execution
13:38:09 - 05-Feb-26
Buy* 608 £364.50 Automatic Execution
12:46:02 - 05-Feb-26
Buy* 13 £367.54 Automatic Execution
12:04:31 - 05-Feb-26
Buy* 1 £367.09 Automatic Execution
12:01:00 - 05-Feb-26
Buy* 1 £367.09 Automatic Execution
12:01:00 - 05-Feb-26
Buy* 1 £367.09 Automatic Execution
12:01:00 - 05-Feb-26
Buy* 119 £366.18 Automatic Execution
11:22:19 - 05-Feb-26
Buy* 119 £366.18 Automatic Execution
11:22:19 - 05-Feb-26
Buy* 119 £366.18 Automatic Execution
11:22:19 - 05-Feb-26
Buy* 125 £366.18 Automatic Execution
11:22:18 - 05-Feb-26
Buy* 125 £366.18 Automatic Execution
11:22:18 - 05-Feb-26
Buy* 123 £366.18 Automatic Execution
11:22:18 - 05-Feb-26
Buy* 133 £366.18 Automatic Execution
11:22:18 - 05-Feb-26
Buy* 117 £366.18 Automatic Execution
11:22:17 - 05-Feb-26
Sell* 1 £366.1735 Negotiated Trade
11:18:17 - 05-Feb-26
Sell* 1 £366.153 Negotiated Trade
10:47:13 - 05-Feb-26
Sell* 8 £365.946 Negotiated Trade
10:44:55 - 05-Feb-26
Buy* 128 £366.94 Automatic Execution
09:43:33 - 05-Feb-26
Sell* 11 £366.20 Automatic Execution
09:22:30 - 05-Feb-26
Buy* 34 £365.5021 Suspected BUY Trade
08:03:19 - 05-Feb-26
Buy* 1 £365.69 Automatic Execution
08:01:01 - 05-Feb-26
Buy* 1 £365.594 Suspected BUY Trade
08:00:28 - 05-Feb-26
Buy* 2 £365.737 Suspected BUY Trade
08:00:28 - 05-Feb-26
Buy* 11 £365.60 Automatic Execution
16:12:56 - 04-Feb-26
Buy* 73 £365.4984 Suspected BUY Trade
15:56:30 - 04-Feb-26
Sell* 75 £365.28 Automatic Execution
15:51:35 - 04-Feb-26
Sell* 139 £364.75 Automatic Execution
15:36:29 - 04-Feb-26
Sell* 156 £364.78 Automatic Execution
15:36:17 - 04-Feb-26
Sell* 156 £364.90 Automatic Execution
15:36:01 - 04-Feb-26
Buy* 6 £365.99 Automatic Execution
15:26:07 - 04-Feb-26
Buy* 154 £365.99 Automatic Execution
15:26:07 - 04-Feb-26
Sell* 17 £364.968 Negotiated Trade
15:21:07 - 04-Feb-26
Sell* 9 £365.25 Automatic Execution
14:18:54 - 04-Feb-26
Sell* 6 £365.16 Automatic Execution
14:17:57 - 04-Feb-26
Buy* 189 £364.91 Automatic Execution
14:03:04 - 04-Feb-26
Buy* 126 £364.92 Automatic Execution
14:03:04 - 04-Feb-26
Buy* 138 £364.92 Automatic Execution
14:03:04 - 04-Feb-26
Buy* 262 £364.92 Automatic Execution
14:03:03 - 04-Feb-26
Buy* 175 £364.93 Automatic Execution
14:03:03 - 04-Feb-26
Buy* 180 £364.93 Automatic Execution
14:03:03 - 04-Feb-26
Buy* 180 £364.93 Automatic Execution
14:03:03 - 04-Feb-26
Sell* 9 £364.67 Negotiated Trade
14:01:07 - 04-Feb-26
Sell* 200 £364.71423 Ordinary
14:01:02 - 04-Feb-26
Sell* 57 £365.34 Automatic Execution
13:42:01 - 04-Feb-26
Buy* 179 £365.0625 Suspected BUY Trade
13:18:48 - 04-Feb-26
Sell* 114 £364.79 Automatic Execution
13:11:12 - 04-Feb-26
Sell* 138 £364.79 Automatic Execution
13:11:12 - 04-Feb-26
Sell* 82 £365.249 Ordinary
12:31:42 - 04-Feb-26
Buy* 180 £365.93 Automatic Execution
11:50:26 - 04-Feb-26
Buy* 40 £365.117 Suspected BUY Trade
11:09:46 - 04-Feb-26
Buy* 268 £365.14 Automatic Execution
10:58:59 - 04-Feb-26
Buy* 2 £365.2265 Suspected BUY Trade
10:45:47 - 04-Feb-26
Buy* 7 £364.6655 Suspected BUY Trade
10:00:57 - 04-Feb-26
Buy* 10 £364.7204 Suspected BUY Trade
10:00:42 - 04-Feb-26
Sell* 1 £366.28 Automatic Execution
16:15:27 - 03-Feb-26
Buy* 39 £367.3345 Suspected BUY Trade
15:20:49 - 03-Feb-26
Buy* 1 £367.073 Suspected BUY Trade
15:17:24 - 03-Feb-26
Buy* 57 £367.55 Automatic Execution
15:01:37 - 03-Feb-26
Sell* 13 £368.67 Automatic Execution
14:43:09 - 03-Feb-26
Sell* 90 £368.73 Automatic Execution
14:43:09 - 03-Feb-26
Sell* 2 £368.91 Automatic Execution
14:33:44 - 03-Feb-26
Sell* 135 £369.35 Automatic Execution
14:29:06 - 03-Feb-26
Sell* 85 £369.62 Automatic Execution
14:19:34 - 03-Feb-26
Buy* 11 £369.76 Automatic Execution
14:16:14 - 03-Feb-26
Buy* 11 £369.84 Suspected BUY Trade
14:04:02 - 03-Feb-26
Buy* 2 £369.50 Automatic Execution
13:49:11 - 03-Feb-26
Sell* 157 £369.50 Automatic Execution
13:19:31 - 03-Feb-26
Sell* 153 £369.41 Automatic Execution
13:16:50 - 03-Feb-26
Sell* 72 £369.3502 Negotiated Trade
08:03:16 - 03-Feb-26
Buy* 6 £369.4565 Suspected BUY Trade
15:57:16 - 02-Feb-26
Sell* 1 £369.0955 Negotiated Trade
15:26:58 - 02-Feb-26
Buy* 1 £369.7235 Suspected BUY Trade
15:20:18 - 02-Feb-26
Buy* 40 £367.9506 Suspected BUY Trade
15:01:40 - 02-Feb-26
Buy* 57 £367.58 Automatic Execution
14:46:18 - 02-Feb-26
Buy* 47 £367.52 Automatic Execution
14:43:56 - 02-Feb-26
Buy* 101 £366.77 Automatic Execution
14:15:51 - 02-Feb-26
Sell* 2 £366.6265 Negotiated Trade
14:13:30 - 02-Feb-26
Sell* 2 £366.6265 Negotiated Trade
14:13:30 - 02-Feb-26
Sell* 57 £366.43 Automatic Execution
14:07:46 - 02-Feb-26
Sell* 2 £366.42 Negotiated Trade
14:03:37 - 02-Feb-26
Sell* 256 £366.47627 Ordinary
14:03:34 - 02-Feb-26
Buy* 59 £366.49 Suspected BUY Trade
14:03:32 - 02-Feb-26
Buy* 56 £365.06092 Ordinary
13:01:26 - 02-Feb-26
Buy* 9 £364.71 Suspected BUY Trade
11:49:47 - 02-Feb-26
Sell* 45 £363.94699 Ordinary
11:26:33 - 02-Feb-26
Sell* 1 £363.6545 Negotiated Trade
11:05:42 - 02-Feb-26
Sell* 7 £363.7435 Negotiated Trade
10:32:44 - 02-Feb-26
Buy* 15 £365.41 Suspected BUY Trade
16:35:06 - 30-Jan-26
Buy* 24 £365.74 Automatic Execution
16:13:19 - 30-Jan-26
Buy* 30 £365.74 Automatic Execution
16:13:18 - 30-Jan-26
Sell* 20 £365.44 Automatic Execution
16:10:53 - 30-Jan-26
Sell* 9 £365.55 Automatic Execution
16:10:48 - 30-Jan-26
Sell* 32 £365.67 Automatic Execution
16:08:35 - 30-Jan-26
Sell* 97 £365.72 Automatic Execution
16:07:45 - 30-Jan-26
Sell* 25 £365.98 Automatic Execution
16:06:59 - 30-Jan-26
Buy* 4 £366.38 Automatic Execution
15:15:01 - 30-Jan-26
Buy* 1 £366.41 Automatic Execution
15:15:00 - 30-Jan-26
Sell* 35 £365.4507 Negotiated Trade
14:39:02 - 30-Jan-26
Buy* 14 £364.54 Suspected BUY Trade
14:03:24 - 30-Jan-26
Sell* 2 £364.45 Negotiated Trade
14:03:19 - 30-Jan-26
Buy* 3 £364.50 Suspected BUY Trade
14:03:13 - 30-Jan-26
Buy* 1 £364.35 Automatic Execution
13:35:59 - 30-Jan-26
Sell* 600 £364.02 Automatic Execution
13:31:52 - 30-Jan-26
Buy* 7 £364.60 Automatic Execution
13:29:37 - 30-Jan-26
Buy* 2 £364.60 Automatic Execution
13:29:37 - 30-Jan-26
Sell* 1 £364.00 Automatic Execution
12:12:45 - 30-Jan-26
Sell* 160 £363.96 Automatic Execution
12:11:52 - 30-Jan-26
Buy* 9 £363.77 Automatic Execution
11:24:08 - 30-Jan-26
Buy* 9 £363.77 Automatic Execution
11:24:08 - 30-Jan-26
Buy* 9 £363.76 Automatic Execution
11:24:07 - 30-Jan-26
Buy* 9 £363.76 Automatic Execution
11:24:07 - 30-Jan-26
Buy* 9 £363.76 Automatic Execution
11:24:07 - 30-Jan-26
Buy* 141 £363.58 Automatic Execution
11:06:20 - 30-Jan-26
Sell* 406 £363.58 Automatic Execution
11:06:19 - 30-Jan-26
Sell* 10 £363.58 Automatic Execution
11:06:19 - 30-Jan-26
Buy* 104 £363.61 Automatic Execution
11:06:19 - 30-Jan-26
Buy* 126 £363.75 Automatic Execution
11:05:37 - 30-Jan-26
Buy* 142 £363.53 Automatic Execution
11:00:56 - 30-Jan-26
Buy* 12 £363.527 Suspected BUY Trade
10:01:58 - 30-Jan-26
Sell* 32 £363.4149 Negotiated Trade
10:01:14 - 30-Jan-26
Buy* 56 £363.13405 Suspected BUY Trade
09:38:51 - 30-Jan-26
Buy* 13 £363.35 Automatic Execution
09:06:23 - 30-Jan-26
Buy* 9 £363.33 Automatic Execution
09:06:23 - 30-Jan-26
Buy* 9 £362.01 Automatic Execution
15:43:41 - 29-Jan-26
Buy* 1 £362.76 Automatic Execution
14:59:43 - 29-Jan-26
Sell* 19 £364.2285 Negotiated Trade
14:42:49 - 29-Jan-26
Buy* 7 £365.454 Suspected BUY Trade
14:12:51 - 29-Jan-26
Buy* 85 £365.84 Automatic Execution
14:05:50 - 29-Jan-26
Sell* 3 £366.04 Negotiated Trade
14:02:18 - 29-Jan-26
Buy* 74 £366.10 Suspected BUY Trade
14:02:15 - 29-Jan-26
Buy* 14 £366.15 Suspected BUY Trade
14:02:09 - 29-Jan-26
Sell* 9 £365.86 Automatic Execution
12:54:29 - 29-Jan-26
Buy* 47 £366.41 Automatic Execution
11:29:03 - 29-Jan-26
Buy* 13 £366.36 Automatic Execution
11:29:03 - 29-Jan-26
Buy* 9 £366.31 Automatic Execution
11:29:03 - 29-Jan-26
Buy* 6 £366.3745 Suspected BUY Trade
10:46:11 - 29-Jan-26
Sell* 4 £366.3069 Negotiated Trade
10:39:59 - 29-Jan-26
Buy* 2 £366.0835 Suspected BUY Trade
10:06:03 - 29-Jan-26
Sell* 12 £366.0706 Negotiated Trade
10:00:55 - 29-Jan-26
Sell* 2 £366.0535 Negotiated Trade
10:00:42 - 29-Jan-26
Sell* 2 £366.3475 Negotiated Trade
09:53:10 - 29-Jan-26
Sell* 154 £366.16 Automatic Execution
09:31:47 - 29-Jan-26
Sell* 3 £365.9855 Negotiated Trade
09:01:22 - 29-Jan-26
Sell* 148 £366.05 Automatic Execution
08:44:47 - 29-Jan-26
Sell* 3 £366.566 Negotiated Trade
15:01:09 - 28-Jan-26
Sell* 12 £366.59 Automatic Execution
14:29:55 - 28-Jan-26
Sell* 12 £366.55 Negotiated Trade
14:27:13 - 28-Jan-26
Buy* 3 £366.79 Automatic Execution
14:19:15 - 28-Jan-26
Buy* 3 £366.94 Suspected BUY Trade
14:03:42 - 28-Jan-26
Sell* 151 £366.69 Automatic Execution
13:48:42 - 28-Jan-26
Sell* 154 £366.93 Automatic Execution
12:49:25 - 28-Jan-26
Sell* 142 £367.29 Automatic Execution
12:08:01 - 28-Jan-26
Sell* 142 £367.43 Automatic Execution
12:05:53 - 28-Jan-26
Buy* 107 £367.39 Automatic Execution
11:53:36 - 28-Jan-26
Buy* 113 £367.38 Automatic Execution
11:45:10 - 28-Jan-26
Buy* 108 £367.40 Automatic Execution
11:17:19 - 28-Jan-26
Buy* 118 £367.00 Automatic Execution
10:52:25 - 28-Jan-26
Buy* 126 £367.13 Automatic Execution
10:43:13 - 28-Jan-26
Buy* 1 £367.056 Suspected BUY Trade
10:03:14 - 28-Jan-26
Sell* 15 £366.9289 Negotiated Trade
10:01:14 - 28-Jan-26
Sell* 240 £366.44 Automatic Execution
08:22:12 - 28-Jan-26
Buy* 7 £367.0435 Suspected BUY Trade
08:00:25 - 28-Jan-26
Buy* 103 £366.83 Automatic Execution
16:25:23 - 27-Jan-26
Sell* 192 £366.79 Automatic Execution
16:21:27 - 27-Jan-26
Buy* 136 £366.82 Automatic Execution
16:18:52 - 27-Jan-26
Buy* 109 £366.81 Automatic Execution
16:18:52 - 27-Jan-26
Buy* 110 £366.81 Automatic Execution
16:18:52 - 27-Jan-26
Buy* 116 £366.81 Automatic Execution
16:18:52 - 27-Jan-26
Buy* 116 £366.81 Automatic Execution
16:18:51 - 27-Jan-26
Buy* 116 £366.81 Automatic Execution
16:18:51 - 27-Jan-26
Buy* 116 £366.81 Automatic Execution
16:18:51 - 27-Jan-26
FTSE 100 Latest
Value10,369.75
Change60.53