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Amundi US TIPS Government Inflation-Linked Bond UCITS ETF GBP Hedged Dist (TIPH) Share Trades

Buy/Sell Volume Trade Prc Trade Type Trade Time
Buy* 4 £109.977 Suspected BUY Trade
14:31:01 - 02-Apr-26
Buy* 10 £109.9685 Suspected BUY Trade
14:04:13 - 02-Apr-26
Sell* 16 £109.6367 Negotiated Trade
08:59:47 - 02-Apr-26
Sell* 62 £109.91 Automatic Execution
16:28:55 - 01-Apr-26
Buy* 169 £110.03 Automatic Execution
14:46:22 - 01-Apr-26
Buy* 61 £110.02 Automatic Execution
14:46:22 - 01-Apr-26
Sell* 2 £109.3725 Negotiated Trade
14:21:52 - 01-Apr-26
Buy* 50 £109.7734 Suspected BUY Trade
14:13:34 - 01-Apr-26
Buy* 19 £109.9575 Suspected BUY Trade
14:05:14 - 01-Apr-26
Sell* 5 £109.3725 Negotiated Trade
14:05:10 - 01-Apr-26
Buy* 51 £109.39 Automatic Execution
13:51:48 - 01-Apr-26
Buy* 149 £109.39 Automatic Execution
13:51:48 - 01-Apr-26
Buy* 87 £110.07 Automatic Execution
13:21:58 - 01-Apr-26
Sell* 163 £110.0487 Negotiated Trade
10:54:23 - 01-Apr-26
Sell* 54 £110.0494 Negotiated Trade
10:50:56 - 01-Apr-26
Buy* 1 £110.02 Result of RFQ
10:15:23 - 01-Apr-26
Buy* 14 £110.002 Suspected BUY Trade
10:01:08 - 01-Apr-26
Buy* 145 £109.984 Suspected BUY Trade
09:55:26 - 01-Apr-26
Sell* 41 £109.7837 Negotiated Trade
08:02:06 - 01-Apr-26
Buy* 1,391 £110.0028 Suspected BUY Trade
08:02:05 - 01-Apr-26
Buy* 11 £109.78 Automatic Execution
15:36:51 - 31-Mar-26
Sell* 34 £109.86 Automatic Execution
15:33:29 - 31-Mar-26
Buy* 34 £109.80 Automatic Execution
15:31:54 - 31-Mar-26
Buy* 91 £109.8722 Suspected BUY Trade
14:06:28 - 31-Mar-26
Sell* 2 £109.8365 Negotiated Trade
14:02:01 - 31-Mar-26
Buy* 13 £109.6853 Suspected BUY Trade
12:23:18 - 31-Mar-26
Sell* 16 £109.7341 Negotiated Trade
10:19:03 - 31-Mar-26
Buy* 109 £109.7877 Suspected BUY Trade
08:47:07 - 31-Mar-26
Sell* 1,074 £109.7146 SI Trade
08:14:29 - 31-Mar-26
Sell* 18 £109.6798 Negotiated Trade
15:21:52 - 30-Mar-26
Sell* 36 £109.6387 Negotiated Trade
14:55:59 - 30-Mar-26
Buy* 28 £109.724 Suspected BUY Trade
14:34:04 - 30-Mar-26
Buy* 3 £109.7435 Suspected BUY Trade
14:33:36 - 30-Mar-26
Sell* 33 £109.646 Negotiated Trade
14:32:58 - 30-Mar-26
Sell* 9 £109.5185 Negotiated Trade
14:09:35 - 30-Mar-26
Buy* 100 £109.6715 Suspected BUY Trade
14:09:13 - 30-Mar-26
Buy* 109 £109.603 Suspected BUY Trade
13:56:07 - 30-Mar-26
Sell* 103 £109.2372 Negotiated Trade
11:13:45 - 30-Mar-26
Buy* 300 £109.4022 Suspected BUY Trade
10:28:31 - 30-Mar-26
Sell* 85 £109.2937 Negotiated Trade
09:33:39 - 30-Mar-26
Buy* 1,087 £109.43 Suspected BUY Trade
09:17:25 - 30-Mar-26
Buy* 2 £109.41 Suspected BUY Trade
08:43:09 - 30-Mar-26
Buy* 197 £109.4317 Suspected BUY Trade
08:02:04 - 30-Mar-26
Sell* 15 £109.1678 Negotiated Trade
16:00:13 - 27-Mar-26
Buy* 82 £109.1878 Suspected BUY Trade
15:29:03 - 27-Mar-26
Buy* 138 £109.02 Automatic Execution
14:25:48 - 27-Mar-26
Buy* 22 £109.02 Automatic Execution
14:25:48 - 27-Mar-26
Sell* 36 £109.03 Automatic Execution
14:16:44 - 27-Mar-26
Buy* 86 £109.1455 Suspected BUY Trade
14:07:36 - 27-Mar-26
Buy* 74 £109.1455 Suspected BUY Trade
14:07:35 - 27-Mar-26
Buy* 240 £109.18936 Ordinary
12:31:00 - 27-Mar-26
Sell* 183 £108.9706 Negotiated Trade
08:10:28 - 27-Mar-26
Buy* 18 £109.1478 Suspected BUY Trade
08:03:14 - 27-Mar-26
Buy* 772 £109.1644 Suspected BUY Trade
08:02:04 - 27-Mar-26
Sell* 125 £109.46 Automatic Execution
16:17:00 - 26-Mar-26
Buy* 476 £109.52 Automatic Execution
15:28:34 - 26-Mar-26
Sell* 58 £109.4537 Negotiated Trade
15:00:59 - 26-Mar-26
Sell* 20 £109.4782 Negotiated Trade
14:36:04 - 26-Mar-26
Sell* 6 £109.4455 Negotiated Trade
14:24:36 - 26-Mar-26
Sell* 4 £109.4665 Negotiated Trade
14:22:18 - 26-Mar-26
Buy* 300 £109.56929 Ordinary
14:21:48 - 26-Mar-26
Sell* 20 £109.50 Automatic Execution
14:16:46 - 26-Mar-26
Buy* 35 £109.55898 Ordinary
13:31:55 - 26-Mar-26
Sell* 35 £109.4488 Negotiated Trade
13:12:39 - 26-Mar-26
Buy* 118 £109.51 Automatic Execution
13:10:34 - 26-Mar-26
Sell* 265 £109.31 SI Trade
12:37:37 - 26-Mar-26
Buy* 125 £109.3177 Suspected BUY Trade
12:00:37 - 26-Mar-26
Buy* 24 £109.1798 Suspected BUY Trade
11:16:20 - 26-Mar-26
Sell* 38 £109.1793 Negotiated Trade
09:00:20 - 26-Mar-26
Buy* 243 £109.3751 Suspected BUY Trade
08:02:04 - 26-Mar-26
Sell* 15 £109.4072 Negotiated Trade
15:58:57 - 25-Mar-26
Sell* 242 £109.42 Automatic Execution
15:37:30 - 25-Mar-26
Sell* 119 £109.3923 Negotiated Trade
14:41:47 - 25-Mar-26
Sell* 15 £109.3307 Negotiated Trade
14:18:42 - 25-Mar-26
Buy* 41 £109.6125 Suspected BUY Trade
12:00:57 - 25-Mar-26
Buy* 50 £109.5273 Suspected BUY Trade
10:53:01 - 25-Mar-26
Buy* 39 £109.3678 Suspected BUY Trade
09:05:50 - 25-Mar-26
Sell* 115 £109.23825 Ordinary
16:18:50 - 24-Mar-26
Buy* 68 £109.2911 Suspected BUY Trade
16:09:49 - 24-Mar-26
Buy* 1,000 £109.3317 Suspected BUY Trade
14:44:16 - 24-Mar-26
Buy* 25 £109.518 Suspected BUY Trade
12:24:35 - 24-Mar-26
Sell* 21 £109.32 Automatic Execution
12:11:38 - 24-Mar-26
Sell* 850 £109.462 Negotiated Trade
11:18:57 - 24-Mar-26
Buy* 250 £109.5257 Ordinary
11:04:09 - 24-Mar-26
Sell* 182 £109.4863 Negotiated Trade
10:26:36 - 24-Mar-26
Sell* 273 £109.5189 Negotiated Trade
09:58:58 - 24-Mar-26
Buy* 82 £109.57531 Ordinary
09:20:37 - 24-Mar-26
Buy* 51 £109.5511 Suspected BUY Trade
09:01:37 - 24-Mar-26
Sell* 1,265 £109.6072 Negotiated Trade
08:02:07 - 24-Mar-26
Sell* 830 £109.61 Automatic Execution
15:37:30 - 23-Mar-26
Buy* 29 £109.697 Suspected BUY Trade
15:17:17 - 23-Mar-26
Buy* 70 £109.71247 Ordinary
14:26:50 - 23-Mar-26
Sell* 21 £109.556 Negotiated Trade
14:07:08 - 23-Mar-26
Buy* 82 £109.63218 Ordinary
13:18:38 - 23-Mar-26
Buy* 30 £109.65019 Ordinary
12:18:20 - 23-Mar-26
Buy* 24 £109.69 Automatic Execution
12:14:34 - 23-Mar-26
Buy* 25 £109.64105 Ordinary
12:10:40 - 23-Mar-26
Buy* 55 £109.62379 Ordinary
11:58:14 - 23-Mar-26
Buy* 105 £109.76341 Ordinary
11:54:51 - 23-Mar-26
Sell* 127 £109.7583 Negotiated Trade
11:18:11 - 23-Mar-26
Sell* 830 £109.51 Automatic Execution
10:45:40 - 23-Mar-26
Buy* 38 £109.70 Automatic Execution
10:08:42 - 23-Mar-26
Buy* 25 £109.68114 Ordinary
10:07:57 - 23-Mar-26
Buy* 61 £109.70 Automatic Execution
10:04:10 - 23-Mar-26
Buy* 60 £109.74 Automatic Execution
09:59:38 - 23-Mar-26
Sell* 197 £109.58 Automatic Execution
09:51:40 - 23-Mar-26
Sell* 197 £109.58 Automatic Execution
09:51:28 - 23-Mar-26
Buy* 59 £109.82 Automatic Execution
09:51:00 - 23-Mar-26
Sell* 197 £109.60 Automatic Execution
09:47:20 - 23-Mar-26
Sell* 197 £109.60 Automatic Execution
09:47:14 - 23-Mar-26
Sell* 197 £109.60 Automatic Execution
09:47:08 - 23-Mar-26
Sell* 62 £109.60 Automatic Execution
09:47:04 - 23-Mar-26
Sell* 197 £109.61 Automatic Execution
09:46:55 - 23-Mar-26
Sell* 20 £109.62 Automatic Execution
09:46:46 - 23-Mar-26
Sell* 197 £109.61 Automatic Execution
09:46:46 - 23-Mar-26
Buy* 1,597 £109.91 SI Trade
09:46:22 - 23-Mar-26
Sell* 161 £109.35388 Ordinary
09:43:13 - 23-Mar-26
Sell* 830 £109.61 Automatic Execution
09:41:16 - 23-Mar-26
Sell* 11 £109.47604 Ordinary
09:31:26 - 23-Mar-26
Sell* 127 £109.40624 Ordinary
09:26:24 - 23-Mar-26
Sell* 80 £109.37088 Ordinary
09:06:20 - 23-Mar-26
Sell* 61 £109.4452 Negotiated Trade
08:02:06 - 23-Mar-26
Sell* 283 £109.4457 Negotiated Trade
08:02:06 - 23-Mar-26
Sell* 13 £109.7076 Negotiated Trade
15:17:52 - 20-Mar-26
Sell* 190 £109.76506 Ordinary
14:50:23 - 20-Mar-26
Sell* 30 £109.73037 Ordinary
14:50:11 - 20-Mar-26
Sell* 6 £109.778 Negotiated Trade
14:21:29 - 20-Mar-26
Buy* 22 £109.983 Suspected BUY Trade
14:06:06 - 20-Mar-26
Buy* 15 £109.983 Suspected BUY Trade
14:05:57 - 20-Mar-26
Buy* 2,320 £110.27 Automatic Execution
12:24:15 - 20-Mar-26
Buy* 42 £110.22 Automatic Execution
12:22:52 - 20-Mar-26
Buy* 22 £110.26 Automatic Execution
12:13:20 - 20-Mar-26
Buy* 20 £110.26 Automatic Execution
12:13:20 - 20-Mar-26
Sell* 42 £110.24 Automatic Execution
12:09:31 - 20-Mar-26
Buy* 5 £110.26 Automatic Execution
11:56:43 - 20-Mar-26
Buy* 37 £110.26 Automatic Execution
11:56:43 - 20-Mar-26
Sell* 2,587 £110.23 Automatic Execution
11:50:49 - 20-Mar-26
Sell* 90 £110.35 Automatic Execution
11:49:41 - 20-Mar-26
Sell* 42 £110.36 Automatic Execution
11:49:41 - 20-Mar-26
Sell* 35 £110.42 Automatic Execution
09:14:35 - 20-Mar-26
Buy* 42 £110.43 Automatic Execution
08:46:56 - 20-Mar-26
Unknown* 42 £110.43 Automatic Execution
08:37:45 - 20-Mar-26
Buy* 40 £110.52 Suspected BUY Trade
16:35:18 - 19-Mar-26
Buy* 220 £110.464 Suspected BUY Trade
16:28:42 - 19-Mar-26
Buy* 67 £110.5314 Suspected BUY Trade
15:55:21 - 19-Mar-26
Sell* 12 £110.4623 Negotiated Trade
15:01:04 - 19-Mar-26
Sell* 3 £110.398 Negotiated Trade
14:22:27 - 19-Mar-26
Buy* 10 £110.5963 Suspected BUY Trade
12:19:56 - 19-Mar-26
Buy* 100 £110.74 Automatic Execution
11:54:45 - 19-Mar-26
Buy* 12 £110.72 Automatic Execution
11:44:12 - 19-Mar-26
Buy* 138 £110.79 Automatic Execution
11:36:02 - 19-Mar-26
Buy* 35 £110.6623 Suspected BUY Trade
10:10:23 - 19-Mar-26
Buy* 819 £110.74 Automatic Execution
09:47:02 - 19-Mar-26
Buy* 20 £111.1293 Suspected BUY Trade
09:38:59 - 19-Mar-26
Buy* 819 £110.71 Automatic Execution
09:37:54 - 19-Mar-26
Buy* 819 £110.70 Automatic Execution
09:27:43 - 19-Mar-26
Buy* 819 £110.68 Automatic Execution
09:20:22 - 19-Mar-26
Buy* 137 £110.6384 Suspected BUY Trade
08:47:06 - 19-Mar-26
Buy* 130 £110.9415 Suspected BUY Trade
15:41:32 - 18-Mar-26
Buy* 42 £110.89 Automatic Execution
15:07:07 - 18-Mar-26
Buy* 5 £110.88 Automatic Execution
15:05:33 - 18-Mar-26
Sell* 75 £110.80094 Ordinary
14:28:56 - 18-Mar-26
Buy* 5 £110.847 Suspected BUY Trade
14:28:51 - 18-Mar-26
Buy* 42 £110.80 Automatic Execution
14:22:26 - 18-Mar-26
Buy* 13 £110.8871 Suspected BUY Trade
14:19:48 - 18-Mar-26
Sell* 5 £110.7495 Negotiated Trade
14:18:29 - 18-Mar-26
Buy* 3 £110.9205 Suspected BUY Trade
14:17:14 - 18-Mar-26
Sell* 5 £110.764 Negotiated Trade
14:06:58 - 18-Mar-26
Buy* 42 £111.01 Automatic Execution
10:04:31 - 18-Mar-26
Sell* 17 £110.8685 Negotiated Trade
10:03:15 - 18-Mar-26
Buy* 40 £111.0005 Suspected BUY Trade
10:01:35 - 18-Mar-26
Unknown* 1,473 £110.9857 OTC Trade
09:26:46 - 18-Mar-26
Sell* 18 £110.9912 Negotiated Trade
08:51:50 - 18-Mar-26
Buy* 110 £111.01 Automatic Execution
08:47:14 - 18-Mar-26
Sell* 249 £110.9912 Negotiated Trade
08:44:05 - 18-Mar-26
Sell* 365 £111.06 Automatic Execution
08:16:50 - 18-Mar-26
Sell* 3 £111.02 Automatic Execution
08:16:41 - 18-Mar-26
Sell* 20 £110.72 Uncrossing Trade
16:35:05 - 17-Mar-26
Sell* 42 £110.65 Automatic Execution
16:11:35 - 17-Mar-26
Buy* 90 £110.70181 Ordinary
15:22:13 - 17-Mar-26
Buy* 110 £110.6842 Suspected BUY Trade
14:24:20 - 17-Mar-26
Buy* 645 £110.68 Automatic Execution
14:20:29 - 17-Mar-26
Buy* 196 £110.68 Automatic Execution
14:20:29 - 17-Mar-26
Unknown* 325 £110.65973 Ordinary
13:59:17 - 17-Mar-26
Sell* 261 £110.70 Automatic Execution
13:37:14 - 17-Mar-26
Unknown* 1,500 £110.7417 OTC Trade
12:43:16 - 17-Mar-26
Buy* 42 £110.68 Automatic Execution
12:42:55 - 17-Mar-26
Buy* 34 £110.71 Automatic Execution
12:42:55 - 17-Mar-26
Buy* 151 £110.71 Automatic Execution
12:42:55 - 17-Mar-26
Sell* 42 £110.50 Automatic Execution
12:00:18 - 17-Mar-26
Buy* 643 £110.48 Automatic Execution
11:41:47 - 17-Mar-26
Buy* 507 £110.62 Automatic Execution
11:25:58 - 17-Mar-26
Unknown* 2,151 £110.5803 OTC Trade
11:19:43 - 17-Mar-26
Buy* 30 £110.5801 Suspected BUY Trade
09:01:36 - 17-Mar-26
Sell* 75 £110.39271 Ordinary
08:51:30 - 17-Mar-26
Buy* 573 £110.4958 Suspected BUY Trade
08:02:05 - 17-Mar-26
Sell* 100 £110.2781 Negotiated Trade
16:16:25 - 16-Mar-26
Buy* 900 £110.3478 Suspected BUY Trade
15:41:26 - 16-Mar-26
Buy* 21 £110.3464 Suspected BUY Trade
15:19:04 - 16-Mar-26
Buy* 90 £110.3264 Suspected BUY Trade
15:12:04 - 16-Mar-26
FTSE 100 Latest
Value10,436.29
Change71.50