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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* 41 £110.21 Automatic Execution
16:03:16 - 10-Jul-26
Buy* 69 £110.22 Automatic Execution
15:33:07 - 10-Jul-26
Buy* 50 £110.21 Automatic Execution
15:33:07 - 10-Jul-26
Sell* 1 £110.18 Automatic Execution
15:28:50 - 10-Jul-26
Sell* 4 £110.18 Automatic Execution
15:28:50 - 10-Jul-26
Buy* 41 £110.22 Automatic Execution
15:28:49 - 10-Jul-26
Buy* 41 £110.21 Automatic Execution
15:28:23 - 10-Jul-26
Sell* 100 £110.16223 Ordinary
15:23:07 - 10-Jul-26
Buy* 29 £110.24 Automatic Execution
14:54:16 - 10-Jul-26
Sell* 1 £110.30 Automatic Execution
13:33:39 - 10-Jul-26
Buy* 41 £110.36 Automatic Execution
13:13:48 - 10-Jul-26
Buy* 1 £110.29 Automatic Execution
13:09:52 - 10-Jul-26
Buy* 40 £110.31 Automatic Execution
13:09:45 - 10-Jul-26
Buy* 41 £110.43 Automatic Execution
13:09:12 - 10-Jul-26
Buy* 200 £110.47504 Ordinary
11:49:56 - 10-Jul-26
Buy* 90 £110.51894 Ordinary
10:48:58 - 10-Jul-26
Sell* 3 £110.454 Negotiated Trade
10:41:35 - 10-Jul-26
Sell* 8 £110.48 Automatic Execution
08:50:23 - 10-Jul-26
Buy* 8 £110.42 Automatic Execution
08:30:44 - 10-Jul-26
Buy* 679 £110.5779 Suspected BUY Trade
08:00:07 - 10-Jul-26
Sell* 48 £110.30549 Ordinary
16:00:59 - 09-Jul-26
Sell* 1 £110.28 Automatic Execution
14:12:28 - 09-Jul-26
Buy* 41 £110.26 Automatic Execution
13:42:21 - 09-Jul-26
Sell* 41 £110.15 Automatic Execution
11:47:58 - 09-Jul-26
Sell* 1 £110.15 Automatic Execution
11:19:00 - 09-Jul-26
Sell* 10 £110.15 Automatic Execution
11:15:33 - 09-Jul-26
Sell* 32 £110.15 Automatic Execution
10:06:51 - 09-Jul-26
Buy* 4 £110.196 Suspected BUY Trade
10:03:05 - 09-Jul-26
Sell* 88 £110.24093 Ordinary
08:54:06 - 09-Jul-26
Buy* 41 £110.34 Automatic Execution
08:48:33 - 09-Jul-26
Buy* 50 £110.3362 Suspected BUY Trade
08:02:02 - 09-Jul-26
Sell* 21 £110.2445 Negotiated Trade
08:02:02 - 09-Jul-26
Sell* 90 £110.1477 Negotiated Trade
16:22:51 - 08-Jul-26
Sell* 1 £110.12 Automatic Execution
16:01:44 - 08-Jul-26
Sell* 2 £110.12 Automatic Execution
16:01:44 - 08-Jul-26
Sell* 39 £110.11 Automatic Execution
15:47:55 - 08-Jul-26
Sell* 147 £110.1764 Negotiated Trade
15:42:30 - 08-Jul-26
Sell* 37 £110.09 Automatic Execution
15:33:42 - 08-Jul-26
Sell* 31 £110.10 Automatic Execution
15:33:42 - 08-Jul-26
Sell* 271 £110.1551 Negotiated Trade
15:32:48 - 08-Jul-26
Sell* 280 £110.14953 Ordinary
15:05:35 - 08-Jul-26
Buy* 90 £110.3284 Ordinary
14:21:12 - 08-Jul-26
Sell* 360 £110.22653 Ordinary
14:13:28 - 08-Jul-26
Sell* 374 £110.21989 Ordinary
14:12:52 - 08-Jul-26
Sell* 2 £110.189 Negotiated Trade
14:09:20 - 08-Jul-26
Sell* 37 £110.199 Negotiated Trade
14:05:37 - 08-Jul-26
Sell* 41 £110.44 Automatic Execution
13:18:31 - 08-Jul-26
Buy* 41 £110.34 Automatic Execution
12:22:48 - 08-Jul-26
Sell* 1 £110.33 Automatic Execution
12:19:30 - 08-Jul-26
Sell* 4 £110.33 Automatic Execution
12:19:30 - 08-Jul-26
Sell* 619 £110.13 Automatic Execution
12:00:17 - 08-Jul-26
Buy* 100 £110.32848 Ordinary
11:37:38 - 08-Jul-26
Buy* 1 £110.314 Suspected BUY Trade
11:30:45 - 08-Jul-26
Buy* 200 £110.2992 Ordinary
10:39:40 - 08-Jul-26
Sell* 1 £110.23 Automatic Execution
10:24:54 - 08-Jul-26
Buy* 35 £110.25591 Ordinary
10:12:04 - 08-Jul-26
Buy* 85 £110.25959 Ordinary
10:11:03 - 08-Jul-26
Sell* 41 £110.17 Automatic Execution
10:04:59 - 08-Jul-26
Buy* 41 £110.20 Automatic Execution
09:54:47 - 08-Jul-26
Buy* 41 £110.26 Automatic Execution
09:17:13 - 08-Jul-26
Buy* 142 £110.4509 Suspected BUY Trade
08:50:42 - 08-Jul-26
Sell* 239 £110.4495 Negotiated Trade
08:44:10 - 08-Jul-26
Buy* 377 £110.4237 Suspected BUY Trade
08:02:27 - 08-Jul-26
Buy* 30 £110.48 Suspected BUY Trade
16:35:20 - 07-Jul-26
Buy* 4 £110.51 Automatic Execution
16:07:51 - 07-Jul-26
Sell* 41 £110.50 Automatic Execution
16:00:16 - 07-Jul-26
Sell* 138 £110.35202 Ordinary
15:19:15 - 07-Jul-26
Buy* 86 £110.51 Automatic Execution
15:10:38 - 07-Jul-26
Buy* 30 £110.50 Automatic Execution
15:07:12 - 07-Jul-26
Buy* 41 £110.51 Automatic Execution
15:03:51 - 07-Jul-26
Sell* 1 £110.47 Automatic Execution
15:03:14 - 07-Jul-26
Sell* 5 £110.47 Automatic Execution
15:03:14 - 07-Jul-26
Buy* 41 £110.51 Automatic Execution
15:02:41 - 07-Jul-26
Buy* 61 £110.50 Automatic Execution
15:02:41 - 07-Jul-26
Sell* 41 £110.60 Automatic Execution
14:41:46 - 07-Jul-26
Buy* 135 £110.61087 Ordinary
14:24:03 - 07-Jul-26
Buy* 8 £110.6475 Suspected BUY Trade
14:13:48 - 07-Jul-26
Sell* 4 £110.593 Negotiated Trade
14:06:37 - 07-Jul-26
Sell* 40 £110.62 Automatic Execution
13:48:56 - 07-Jul-26
Buy* 395 £110.6134 Suspected BUY Trade
12:22:26 - 07-Jul-26
Buy* 1 £110.594 Suspected BUY Trade
10:50:59 - 07-Jul-26
Sell* 1 £110.52 Automatic Execution
10:45:43 - 07-Jul-26
Buy* 41 £110.51 Automatic Execution
10:31:47 - 07-Jul-26
Buy* 41 £110.51 Automatic Execution
10:12:54 - 07-Jul-26
Sell* 85 £110.47551 Ordinary
09:32:32 - 07-Jul-26
Sell* 59 £110.46011 Ordinary
09:15:39 - 07-Jul-26
Buy* 41 £110.49 Automatic Execution
08:54:21 - 07-Jul-26
Sell* 24 £110.4636 Negotiated Trade
08:37:03 - 07-Jul-26
Buy* 170 £110.50 Suspected BUY Trade
16:35:10 - 06-Jul-26
Buy* 37 £110.50 Automatic Execution
16:29:04 - 06-Jul-26
Sell* 41 £110.50 Automatic Execution
16:29:03 - 06-Jul-26
Sell* 22 £110.5549 Negotiated Trade
15:26:51 - 06-Jul-26
Buy* 24 £110.65 Automatic Execution
14:46:54 - 06-Jul-26
Buy* 3 £110.60 Automatic Execution
11:42:09 - 06-Jul-26
Sell* 33 £110.66 Automatic Execution
11:37:46 - 06-Jul-26
Buy* 1 £110.6775 Suspected BUY Trade
11:15:49 - 06-Jul-26
Sell* 1 £110.58 Automatic Execution
10:40:28 - 06-Jul-26
Buy* 33 £110.58 Automatic Execution
10:06:32 - 06-Jul-26
Sell* 350 £110.54916 Ordinary
10:01:16 - 06-Jul-26
Sell* 126 £110.5657 Negotiated Trade
09:23:15 - 06-Jul-26
Sell* 235 £110.4661 Negotiated Trade
08:08:38 - 06-Jul-26
Sell* 78 £110.3874 Negotiated Trade
16:17:55 - 03-Jul-26
Sell* 87 £110.4513 Negotiated Trade
15:33:58 - 03-Jul-26
Sell* 22 £110.4522 Negotiated Trade
15:23:38 - 03-Jul-26
Sell* 123 £110.3842 Negotiated Trade
15:23:09 - 03-Jul-26
Sell* 45 £110.4266 Negotiated Trade
14:43:27 - 03-Jul-26
Buy* 5 £110.558 Suspected BUY Trade
14:10:38 - 03-Jul-26
Sell* 35 £110.3874 Negotiated Trade
13:18:30 - 03-Jul-26
Sell* 65 £110.3078 Negotiated Trade
12:48:34 - 03-Jul-26
Sell* 5 £110.3625 Negotiated Trade
11:15:28 - 03-Jul-26
Sell* 120 £110.41712 Ordinary
11:00:40 - 03-Jul-26
Sell* 514 £110.4208 Negotiated Trade
09:25:23 - 03-Jul-26
Buy* 66 £110.62052 Ordinary
16:19:24 - 02-Jul-26
Sell* 2 £110.57 Automatic Execution
16:18:49 - 02-Jul-26
Sell* 30 £110.5236 Negotiated Trade
15:53:01 - 02-Jul-26
Unknown* 47 £110.5343 OTC Trade
15:33:34 - 02-Jul-26
Sell* 173 £110.4736 Negotiated Trade
15:33:09 - 02-Jul-26
Sell* 2 £110.5235 Negotiated Trade
14:04:46 - 02-Jul-26
Sell* 270 £110.3402 Negotiated Trade
12:31:52 - 02-Jul-26
Sell* 33 £110.3236 Negotiated Trade
12:21:15 - 02-Jul-26
Sell* 27 £110.3236 Negotiated Trade
12:21:12 - 02-Jul-26
Sell* 70 £110.3485 Negotiated Trade
11:54:56 - 02-Jul-26
Sell* 32 £110.3319 Negotiated Trade
11:54:09 - 02-Jul-26
Sell* 44 £110.3319 Negotiated Trade
11:51:01 - 02-Jul-26
Sell* 175 £110.3319 Negotiated Trade
11:40:26 - 02-Jul-26
Sell* 7 £110.3319 Negotiated Trade
11:34:16 - 02-Jul-26
Buy* 275 £110.37243 Ordinary
11:23:34 - 02-Jul-26
Buy* 12 £110.37 Automatic Execution
11:18:31 - 02-Jul-26
Buy* 8 £110.355 Suspected BUY Trade
11:13:20 - 02-Jul-26
Sell* 1 £110.33 Automatic Execution
10:50:19 - 02-Jul-26
Sell* 18 £110.3337 Negotiated Trade
10:48:01 - 02-Jul-26
Buy* 41 £110.36 Automatic Execution
10:23:27 - 02-Jul-26
Sell* 10 £110.2936 Negotiated Trade
10:22:48 - 02-Jul-26
Unknown* 400 £110.3422 OTC Trade
08:01:24 - 02-Jul-26
Sell* 2 £110.52 Uncrossing Trade
16:35:05 - 01-Jul-26
Sell* 1 £110.52 Automatic Execution
16:28:45 - 01-Jul-26
Sell* 3 £110.52 Automatic Execution
16:28:45 - 01-Jul-26
Sell* 75 £110.5231 Result of RFQ
16:16:13 - 01-Jul-26
Sell* 99 £110.5755 Negotiated Trade
15:46:30 - 01-Jul-26
Sell* 3 £110.424 Negotiated Trade
14:21:00 - 01-Jul-26
Buy* 4 £110.496 Suspected BUY Trade
14:20:57 - 01-Jul-26
Buy* 11 £110.476 Suspected BUY Trade
14:20:01 - 01-Jul-26
Sell* 51 £110.3434 Result of RFQ
13:53:37 - 01-Jul-26
Buy* 18 £110.3592 Suspected BUY Trade
13:24:44 - 01-Jul-26
Buy* 41 £110.38 Automatic Execution
13:16:05 - 01-Jul-26
Buy* 1 £110.3875 Suspected BUY Trade
11:27:35 - 01-Jul-26
Sell* 1 £110.35 Automatic Execution
10:58:36 - 01-Jul-26
Sell* 1 £110.35 Automatic Execution
10:58:36 - 01-Jul-26
Sell* 84 £110.3737 Result of RFQ
10:48:26 - 01-Jul-26
Sell* 84 £110.36606 Negotiated Trade
10:48:18 - 01-Jul-26
Sell* 95 £110.36972 Ordinary
10:20:15 - 01-Jul-26
Sell* 399 £110.37656 Ordinary
09:46:03 - 01-Jul-26
Buy* 41 £110.45 Automatic Execution
09:42:44 - 01-Jul-26
Sell* 450 £110.4012 Negotiated Trade
09:10:41 - 01-Jul-26
Buy* 468 £110.4511 Suspected BUY Trade
08:00:03 - 01-Jul-26
Sell* 2 £110.89 Automatic Execution
16:28:23 - 30-Jun-26
Buy* 198 £110.9978 Suspected BUY Trade
15:24:16 - 30-Jun-26
Sell* 44 £110.9636 Negotiated Trade
14:41:13 - 30-Jun-26
Sell* 137 £111.0128 Negotiated Trade
14:14:35 - 30-Jun-26
Sell* 2 £111.004 Negotiated Trade
14:03:34 - 30-Jun-26
Buy* 175 £111.0364 Suspected BUY Trade
13:25:50 - 30-Jun-26
Sell* 360 £110.97727 Ordinary
13:16:31 - 30-Jun-26
Sell* 28 £111.0236 Negotiated Trade
10:49:12 - 30-Jun-26
Sell* 65 £111.0236 Negotiated Trade
10:47:32 - 30-Jun-26
Sell* 45 £111.0236 Negotiated Trade
10:36:54 - 30-Jun-26
Sell* 23 £111.0453 Negotiated Trade
10:13:21 - 30-Jun-26
Sell* 90 £111.02029 Ordinary
10:06:17 - 30-Jun-26
Sell* 2 £111.04 Automatic Execution
09:05:35 - 30-Jun-26
Sell* 2 £111.0016 Negotiated Trade
09:01:14 - 30-Jun-26
Buy* 19 £111.1186 Suspected BUY Trade
09:01:09 - 30-Jun-26
Buy* 193 £111.1284 Suspected BUY Trade
08:00:52 - 30-Jun-26
Sell* 6 £110.90 Uncrossing Trade
16:35:18 - 29-Jun-26
Buy* 41 £110.93 Automatic Execution
16:27:10 - 29-Jun-26
Sell* 40 £110.94 Automatic Execution
16:17:12 - 29-Jun-26
Sell* 41 £110.94 Automatic Execution
16:17:12 - 29-Jun-26
Sell* 27 £110.9453 Negotiated Trade
15:37:14 - 29-Jun-26
Sell* 6 £110.91 SI Trade
14:39:01 - 29-Jun-26
Sell* 100 £110.8819 Negotiated Trade
13:46:09 - 29-Jun-26
Sell* 41 £110.92 Automatic Execution
13:23:22 - 29-Jun-26
Buy* 28 £110.9274 Suspected BUY Trade
12:22:49 - 29-Jun-26
Sell* 50 £110.8519 Negotiated Trade
11:41:52 - 29-Jun-26
Sell* 143 £110.8419 Negotiated Trade
11:37:47 - 29-Jun-26
Sell* 1 £110.82 Automatic Execution
11:17:21 - 29-Jun-26
Buy* 72 £110.8429 Suspected BUY Trade
11:10:11 - 29-Jun-26
Buy* 200 £110.843 Suspected BUY Trade
11:09:41 - 29-Jun-26
Buy* 13 £110.8327 Suspected BUY Trade
10:52:23 - 29-Jun-26
Buy* 41 £110.79 Automatic Execution
10:51:46 - 29-Jun-26
Sell* 3 £110.81 Automatic Execution
10:38:03 - 29-Jun-26
Sell* 3 £110.7808 Negotiated Trade
10:37:50 - 29-Jun-26
Sell* 181 £110.8136 Negotiated Trade
16:08:40 - 26-Jun-26
Sell* 362 £110.65161 Ordinary
14:33:31 - 26-Jun-26
Sell* 97 £110.7089 Negotiated Trade
14:25:16 - 26-Jun-26
Buy* 63 £110.7719 Suspected BUY Trade
14:02:55 - 26-Jun-26
Buy* 75 £110.83098 Ordinary
13:40:39 - 26-Jun-26
Buy* 75 £110.82665 Ordinary
13:38:18 - 26-Jun-26
Sell* 1 £110.82 Automatic Execution
13:13:20 - 26-Jun-26
Sell* 1 £110.82 Automatic Execution
13:13:20 - 26-Jun-26
Buy* 41 £110.73 Automatic Execution
12:51:18 - 26-Jun-26
Buy* 41 £110.73 Automatic Execution
12:50:56 - 26-Jun-26
Sell* 41 £110.76 Automatic Execution
12:37:12 - 26-Jun-26
FTSE 100 Latest
Value10,497.29
Change24.84