| Buy/Sell | Volume | Trade Prc | Trade Type | Trade Time | 
|---|---|---|---|---|
| Buy* | 76 | £5.119 | Suspected BUY Trade | 15:17:44 - 31-Oct-25 | 
| Sell* | 19 | £5.11175 | Negotiated Trade | 15:15:51 - 31-Oct-25 | 
| Sell* | 8 | £5.11175 | Negotiated Trade | 15:09:52 - 31-Oct-25 | 
| Buy* | 40 | £5.1203 | Suspected BUY Trade | 13:06:39 - 31-Oct-25 | 
| Buy* | 2 | £5.1182 | Suspected BUY Trade | 11:19:40 - 31-Oct-25 | 
| Buy* | 1,686 | £5.11718 | Ordinary | 10:21:30 - 31-Oct-25 | 
| Buy* | 1,000 | £5.1165 | Suspected BUY Trade | 09:54:47 - 31-Oct-25 | 
| Buy* | 1,942 | £5.1163 | Suspected BUY Trade | 09:39:16 - 31-Oct-25 | 
| Buy* | 66,000 | £5.117 | Automatic Execution | 08:51:49 - 31-Oct-25 | 
| Buy* | 527 | £5.117 | Automatic Execution | 08:37:11 - 31-Oct-25 | 
| Buy* | 19,506 | £5.12636 | Suspected BUY Trade | 08:00:23 - 31-Oct-25 | 
| Buy* | 1,704 | £5.124 | Automatic Execution | 16:27:06 - 30-Oct-25 | 
| Buy* | 79 | £5.12145 | Suspected BUY Trade | 15:10:43 - 30-Oct-25 | 
| Buy* | 5 | £5.12145 | Suspected BUY Trade | 15:01:59 - 30-Oct-25 | 
| Buy* | 81 | £5.12995 | Suspected BUY Trade | 10:21:47 - 30-Oct-25 | 
| Sell* | 89 | £5.1345 | Uncrossing Trade | 16:35:11 - 29-Oct-25 | 
| Buy* | 2,091 | £5.14045 | Suspected BUY Trade | 16:12:09 - 29-Oct-25 | 
| Sell* | 2 | £5.13778 | Negotiated Trade | 15:14:33 - 29-Oct-25 | 
| Buy* | 175 | £5.14113 | Suspected BUY Trade | 15:12:05 - 29-Oct-25 | 
| Buy* | 2 | £5.14113 | Suspected BUY Trade | 15:03:08 - 29-Oct-25 | 
| Sell* | 1,409 | £5.13743 | Negotiated Trade | 11:24:47 - 29-Oct-25 | 
| Buy* | 3 | £5.14361 | Suspected BUY Trade | 11:19:24 - 29-Oct-25 | 
| Buy* | 235 | £5.14395 | Suspected BUY Trade | 10:21:40 - 29-Oct-25 | 
| Sell* | 19 | £5.1401 | Negotiated Trade | 10:21:39 - 29-Oct-25 | 
| Buy* | 104 | £5.15 | Automatic Execution | 08:12:47 - 29-Oct-25 | 
| Sell* | 1 | £5.1295 | Uncrossing Trade | 16:35:00 - 28-Oct-25 | 
| Sell* | 171 | £5.13888 | Negotiated Trade | 15:18:25 - 28-Oct-25 | 
| Buy* | 26 | £5.14345 | Suspected BUY Trade | 15:13:27 - 28-Oct-25 | 
| Buy* | 3 | £5.14345 | Suspected BUY Trade | 15:04:02 - 28-Oct-25 | 
| Buy* | 93 | £5.1435 | Automatic Execution | 13:44:52 - 28-Oct-25 | 
| Buy* | 2,027 | £5.14778 | Suspected BUY Trade | 10:21:48 - 28-Oct-25 | 
| Sell* | 1 | £5.1437 | Negotiated Trade | 10:21:48 - 28-Oct-25 | 
| Buy* | 776 | £5.14828 | Suspected BUY Trade | 08:32:24 - 28-Oct-25 | 
| Sell* | 1 | £5.1325 | Uncrossing Trade | 16:35:21 - 27-Oct-25 | 
| Sell* | 118 | £5.13409 | Negotiated Trade | 15:29:49 - 27-Oct-25 | 
| Buy* | 99 | £5.138 | Automatic Execution | 15:20:01 - 27-Oct-25 | 
| Buy* | 9 | £5.13528 | Suspected BUY Trade | 15:12:36 - 27-Oct-25 | 
| Buy* | 1,553 | £5.13778 | Suspected BUY Trade | 14:16:22 - 27-Oct-25 | 
| Buy* | 292 | £5.1364 | Suspected BUY Trade | 14:12:51 - 27-Oct-25 | 
| Buy* | 100 | £5.138 | Automatic Execution | 13:51:11 - 27-Oct-25 | 
| Sell* | 2,821 | £5.13319 | Negotiated Trade | 12:23:51 - 27-Oct-25 | 
| Buy* | 11 | £5.13611 | Suspected BUY Trade | 11:19:27 - 27-Oct-25 | 
| Sell* | 29 | £5.1305 | Negotiated Trade | 10:28:04 - 27-Oct-25 | 
| Buy* | 4,431 | £5.13594 | Suspected BUY Trade | 10:21:48 - 27-Oct-25 | 
| Sell* | 1 | £5.1314 | Negotiated Trade | 10:21:48 - 27-Oct-25 | 
| Buy* | 2,433 | £5.13664 | Ordinary | 09:57:05 - 27-Oct-25 | 
| Buy* | 3,890 | £5.13817 | Ordinary | 09:15:19 - 27-Oct-25 | 
| Buy* | 9 | £5.14 | Suspected BUY Trade | 08:46:06 - 27-Oct-25 | 
| Buy* | 350 | £5.14 | Automatic Execution | 08:44:14 - 27-Oct-25 | 
| Buy* | 9 | £5.14269 | Suspected BUY Trade | 08:16:34 - 27-Oct-25 | 
| Buy* | 100 | £5.1615 | Automatic Execution | 08:03:33 - 27-Oct-25 | 
| Buy* | 100 | £5.162 | Automatic Execution | 08:03:33 - 27-Oct-25 | 
| Buy* | 1 | £5.162 | Automatic Execution | 08:03:32 - 27-Oct-25 | 
| Buy* | 350 | £5.153 | Automatic Execution | 08:00:33 - 27-Oct-25 | 
| Buy* | 3 | £5.153 | Automatic Execution | 08:00:33 - 27-Oct-25 | 
| Buy* | 4 | £5.153 | Automatic Execution | 08:00:33 - 27-Oct-25 | 
| Sell* | 8 | £5.1295 | Uncrossing Trade | 16:35:22 - 24-Oct-25 | 
| Buy* | 2,029 | £5.13711 | Suspected BUY Trade | 15:53:53 - 24-Oct-25 | 
| Buy* | 11 | £5.13845 | Suspected BUY Trade | 15:46:58 - 24-Oct-25 | 
| Buy* | 241 | £5.13778 | Suspected BUY Trade | 15:23:59 - 24-Oct-25 | 
| Buy* | 1 | £5.13811 | Suspected BUY Trade | 15:11:37 - 24-Oct-25 | 
| Buy* | 2,134 | £5.14025 | Ordinary | 14:15:43 - 24-Oct-25 | 
| Buy* | 94 | £5.136 | Automatic Execution | 13:29:18 - 24-Oct-25 | 
| Buy* | 7 | £5.1355 | Automatic Execution | 13:15:17 - 24-Oct-25 | 
| Buy* | 7 | £5.1355 | Automatic Execution | 13:15:13 - 24-Oct-25 | 
| Buy* | 7 | £5.1355 | Automatic Execution | 13:15:12 - 24-Oct-25 | 
| Buy* | 262 | £5.1355 | Automatic Execution | 13:11:20 - 24-Oct-25 | 
| Sell* | 5,461 | £5.1292 | Negotiated Trade | 11:51:54 - 24-Oct-25 | 
| Sell* | 51,891 | £5.1285 | Negotiated Trade | 11:51:30 - 24-Oct-25 | 
| Sell* | 10,729 | £5.1293 | Negotiated Trade | 11:49:23 - 24-Oct-25 | 
| Sell* | 124,274 | £5.1293 | Negotiated Trade | 11:48:59 - 24-Oct-25 | 
| Buy* | 629 | £5.13434 | Ordinary | 10:46:04 - 24-Oct-25 | 
| Buy* | 11,924 | £5.13278 | Ordinary | 10:21:39 - 24-Oct-25 | 
| Sell* | 1,207 | £5.12821 | Negotiated Trade | 10:21:39 - 24-Oct-25 | 
| Buy* | 7 | £5.1365 | Automatic Execution | 08:53:44 - 24-Oct-25 | 
| Buy* | 7 | £5.1365 | Automatic Execution | 08:53:43 - 24-Oct-25 | 
| Buy* | 7 | £5.1365 | Automatic Execution | 08:53:42 - 24-Oct-25 | 
| Buy* | 7 | £5.1365 | Automatic Execution | 08:53:41 - 24-Oct-25 | 
| Buy* | 7 | £5.1365 | Automatic Execution | 08:53:41 - 24-Oct-25 | 
| Buy* | 315 | £5.1375 | Automatic Execution | 08:49:08 - 24-Oct-25 | 
| Sell* | 246 | £5.13266 | Negotiated Trade | 08:34:25 - 24-Oct-25 | 
| Buy* | 261 | £5.13938 | Suspected BUY Trade | 08:17:30 - 24-Oct-25 | 
| Buy* | 103 | £5.1405 | Suspected BUY Trade | 16:35:23 - 23-Oct-25 | 
| Buy* | 632 | £5.1369 | Suspected BUY Trade | 16:09:23 - 23-Oct-25 | 
| Buy* | 1,951 | £5.133 | Suspected BUY Trade | 14:15:34 - 23-Oct-25 | 
| Buy* | 12 | £5.1346 | Suspected BUY Trade | 13:58:27 - 23-Oct-25 | 
| Buy* | 4,772 | £5.1321 | Suspected BUY Trade | 11:35:43 - 23-Oct-25 | 
| Buy* | 3,701 | £5.1314 | Suspected BUY Trade | 11:34:00 - 23-Oct-25 | 
| Buy* | 1 | £5.13288 | Suspected BUY Trade | 11:24:50 - 23-Oct-25 | 
| Sell* | 538 | £5.12721 | Negotiated Trade | 10:21:46 - 23-Oct-25 | 
| Buy* | 18 | £5.1375 | Automatic Execution | 09:29:44 - 23-Oct-25 | 
| Buy* | 18 | £5.1375 | Automatic Execution | 09:29:44 - 23-Oct-25 | 
| Buy* | 18 | £5.1375 | Automatic Execution | 09:29:39 - 23-Oct-25 | 
| Buy* | 18 | £5.1375 | Automatic Execution | 09:29:39 - 23-Oct-25 | 
| Buy* | 18 | £5.1375 | Automatic Execution | 09:29:38 - 23-Oct-25 | 
| Buy* | 1 | £5.1375 | Automatic Execution | 09:29:38 - 23-Oct-25 | 
| Buy* | 1 | £5.1375 | Automatic Execution | 09:29:33 - 23-Oct-25 | 
| Buy* | 1 | £5.1375 | Automatic Execution | 09:29:32 - 23-Oct-25 | 
| Buy* | 1 | £5.1375 | Automatic Execution | 09:29:32 - 23-Oct-25 | 
| Buy* | 1 | £5.1375 | Automatic Execution | 09:28:31 - 23-Oct-25 | 
| Buy* | 700 | £5.1375 | Automatic Execution | 09:07:47 - 23-Oct-25 | 
| Sell* | 140 | £5.13162 | Negotiated Trade | 08:16:01 - 23-Oct-25 | 
| Buy* | 103 | £5.139 | Automatic Execution | 08:16:00 - 23-Oct-25 | 
| Buy* | 973 | £5.1346 | Suspected BUY Trade | 16:25:46 - 22-Oct-25 | 
| Buy* | 3 | £5.13424 | Suspected BUY Trade | 15:06:03 - 22-Oct-25 | 
| Sell* | 132 | £5.13149 | Negotiated Trade | 15:05:20 - 22-Oct-25 | 
| Sell* | 3 | £5.13176 | Negotiated Trade | 14:58:26 - 22-Oct-25 | 
| Buy* | 1,691 | £5.1367 | Suspected BUY Trade | 14:15:26 - 22-Oct-25 | 
| Sell* | 76 | £5.1335 | Negotiated Trade | 11:22:13 - 22-Oct-25 | 
| Buy* | 86 | £5.142 | Automatic Execution | 11:11:13 - 22-Oct-25 | 
| Buy* | 201 | £5.142 | Automatic Execution | 11:11:08 - 22-Oct-25 | 
| Buy* | 175 | £5.1385 | Automatic Execution | 10:48:48 - 22-Oct-25 | 
| Buy* | 2,443 | £5.1402 | Suspected BUY Trade | 10:21:40 - 22-Oct-25 | 
| Sell* | 2,531 | £5.13635 | Negotiated Trade | 10:21:39 - 22-Oct-25 | 
| Sell* | 1,302 | £5.13321 | Negotiated Trade | 08:18:11 - 22-Oct-25 | 
| Buy* | 3,875 | £5.16045 | Suspected BUY Trade | 08:00:28 - 22-Oct-25 | 
| Buy* | 3 | £5.14215 | Suspected BUY Trade | 15:14:24 - 21-Oct-25 | 
| Sell* | 15 | £5.13735 | Negotiated Trade | 15:14:06 - 21-Oct-25 | 
| Buy* | 2,341 | £5.1407 | Suspected BUY Trade | 14:15:42 - 21-Oct-25 | 
| Buy* | 5 | £5.135 | Automatic Execution | 12:07:44 - 21-Oct-25 | 
| Sell* | 52 | £5.1284 | Negotiated Trade | 11:40:22 - 21-Oct-25 | 
| Sell* | 473 | £5.13103 | Negotiated Trade | 11:18:17 - 21-Oct-25 | 
| Sell* | 4,795 | £5.13203 | Negotiated Trade | 10:21:31 - 21-Oct-25 | 
| Buy* | 735 | £5.1365 | Suspected BUY Trade | 10:21:31 - 21-Oct-25 | 
| Sell* | 179 | £5.1323 | Negotiated Trade | 08:17:01 - 21-Oct-25 | 
| Buy* | 5 | £5.13283 | Suspected BUY Trade | 15:16:59 - 20-Oct-25 | 
| Buy* | 2,300 | £5.132 | Suspected BUY Trade | 15:16:30 - 20-Oct-25 | 
| Sell* | 21 | £5.12785 | Negotiated Trade | 15:10:48 - 20-Oct-25 | 
| Buy* | 1,947 | £5.1309 | Suspected BUY Trade | 15:02:32 - 20-Oct-25 | 
| Buy* | 466 | £5.135 | Automatic Execution | 14:24:03 - 20-Oct-25 | 
| Buy* | 906 | £5.1329 | Suspected BUY Trade | 14:16:32 - 20-Oct-25 | 
| Sell* | 2,060 | £5.1269 | Negotiated Trade | 14:16:32 - 20-Oct-25 | 
| Sell* | 1 | £5.12094 | Negotiated Trade | 11:55:19 - 20-Oct-25 | 
| Sell* | 102,346 | £5.11944 | Negotiated Trade | 11:53:56 - 20-Oct-25 | 
| Buy* | 1,167 | £5.12606 | Suspected BUY Trade | 11:51:33 - 20-Oct-25 | 
| Sell* | 218 | £5.1183 | Negotiated Trade | 11:20:31 - 20-Oct-25 | 
| Buy* | 12,418 | £5.1247 | Suspected BUY Trade | 11:16:32 - 20-Oct-25 | 
| Sell* | 12 | £5.1189 | Negotiated Trade | 10:22:06 - 20-Oct-25 | 
| Buy* | 4,931 | £5.1245 | Suspected BUY Trade | 10:22:05 - 20-Oct-25 | 
| Buy* | 201 | £5.1265 | Automatic Execution | 10:18:25 - 20-Oct-25 | 
| Buy* | 88 | £5.1285 | Automatic Execution | 08:27:38 - 20-Oct-25 | 
| Buy* | 87 | £5.1585 | Automatic Execution | 08:04:45 - 20-Oct-25 | 
| Buy* | 686 | £5.12306 | Suspected BUY Trade | 15:21:49 - 17-Oct-25 | 
| Buy* | 2 | £5.12757 | Suspected BUY Trade | 15:02:07 - 17-Oct-25 | 
| Buy* | 509 | £5.12698 | Suspected BUY Trade | 14:16:22 - 17-Oct-25 | 
| Sell* | 175 | £5.12 | Automatic Execution | 12:21:22 - 17-Oct-25 | 
| Buy* | 5 | £5.13279 | Suspected BUY Trade | 11:52:05 - 17-Oct-25 | 
| Buy* | 71 | £5.13179 | Suspected BUY Trade | 11:19:53 - 17-Oct-25 | 
| Sell* | 224 | £5.12621 | Negotiated Trade | 10:21:56 - 17-Oct-25 | 
| Buy* | 291 | £5.1321 | Suspected BUY Trade | 10:21:56 - 17-Oct-25 | 
| Buy* | 80 | £5.135 | Automatic Execution | 10:02:04 - 17-Oct-25 | 
| Sell* | 437 | £5.126 | Negotiated Trade | 09:43:09 - 17-Oct-25 | 
| Sell* | 315 | £5.1305 | Automatic Execution | 08:30:50 - 17-Oct-25 | 
| Buy* | 263 | £5.148 | Automatic Execution | 08:10:16 - 17-Oct-25 | 
| Sell* | 5,389 | £5.1254 | Negotiated Trade | 08:05:42 - 17-Oct-25 | 
| Buy* | 1 | £5.1255 | Automatic Execution | 15:27:48 - 16-Oct-25 | 
| Buy* | 6 | £5.12415 | Suspected BUY Trade | 15:06:32 - 16-Oct-25 | 
| Buy* | 647 | £5.1291 | Suspected BUY Trade | 14:16:06 - 16-Oct-25 | 
| Buy* | 29 | £5.1279 | Suspected BUY Trade | 14:11:20 - 16-Oct-25 | 
| Buy* | 3,897 | £5.13156 | Ordinary | 11:59:53 - 16-Oct-25 | 
| Buy* | 4,573 | £5.1311 | Suspected BUY Trade | 11:04:46 - 16-Oct-25 | 
| Buy* | 353 | £5.1301 | Suspected BUY Trade | 10:21:56 - 16-Oct-25 | 
| Sell* | 76 | £5.12521 | Negotiated Trade | 10:21:55 - 16-Oct-25 | 
| Buy* | 1,950 | £5.1304 | Suspected BUY Trade | 09:59:38 - 16-Oct-25 | 
| Buy* | 191 | £5.1315 | Automatic Execution | 08:16:15 - 16-Oct-25 | 
| Buy* | 679 | £5.1315 | Automatic Execution | 08:16:14 - 16-Oct-25 | 
| Buy* | 1,280 | £5.13079 | Suspected BUY Trade | 08:15:19 - 16-Oct-25 | 
| Sell* | 2,782 | £5.1315 | Automatic Execution | 16:27:24 - 15-Oct-25 | 
| Buy* | 2,718 | £5.1315 | Automatic Execution | 16:27:24 - 15-Oct-25 | 
| Sell* | 68 | £5.12239 | Negotiated Trade | 15:47:08 - 15-Oct-25 | 
| Buy* | 4 | £5.12929 | Suspected BUY Trade | 15:14:24 - 15-Oct-25 | 
| Sell* | 1 | £5.12257 | Negotiated Trade | 15:09:55 - 15-Oct-25 | 
| Buy* | 52 | £5.12443 | Suspected BUY Trade | 14:17:27 - 15-Oct-25 | 
| Sell* | 1,954 | £5.1182 | Negotiated Trade | 14:15:52 - 15-Oct-25 | 
| Buy* | 195 | £5.12443 | Suspected BUY Trade | 14:15:50 - 15-Oct-25 | 
| Buy* | 27 | £5.1252 | Suspected BUY Trade | 11:18:11 - 15-Oct-25 | 
| Buy* | 19 | £5.127 | Suspected BUY Trade | 11:11:41 - 15-Oct-25 | 
| Buy* | 51,891 | £5.12594 | Ordinary | 10:54:33 - 15-Oct-25 | 
| Buy* | 5,461 | £5.12602 | Suspected BUY Trade | 10:53:50 - 15-Oct-25 | 
| Buy* | 10,729 | £5.12569 | Suspected BUY Trade | 10:49:35 - 15-Oct-25 | 
| Buy* | 124,274 | £5.12569 | Suspected BUY Trade | 10:48:50 - 15-Oct-25 | 
| Buy* | 782 | £5.12451 | Suspected BUY Trade | 10:21:48 - 15-Oct-25 | 
| Buy* | 19 | £5.10806 | Suspected BUY Trade | 15:21:08 - 14-Oct-25 | 
| Sell* | 49 | £5.09981 | Negotiated Trade | 15:10:44 - 14-Oct-25 | 
| Buy* | 49,550 | £5.12025 | Suspected BUY Trade | 11:48:29 - 14-Oct-25 | 
| Sell* | 611 | £5.107 | Automatic Execution | 11:10:20 - 14-Oct-25 | 
| Sell* | 392 | £5.10926 | Negotiated Trade | 10:57:20 - 14-Oct-25 | 
| Sell* | 22 | £5.10926 | Negotiated Trade | 10:21:56 - 14-Oct-25 | 
| Buy* | 6,427 | £5.1172 | Suspected BUY Trade | 10:21:56 - 14-Oct-25 | 
| Buy* | 172 | £5.1205 | Automatic Execution | 08:17:58 - 14-Oct-25 | 
| Buy* | 62 | £5.1018 | Suspected BUY Trade | 15:28:02 - 13-Oct-25 | 
| Sell* | 4 | £5.0981 | Negotiated Trade | 15:21:34 - 13-Oct-25 | 
| Buy* | 1 | £5.10469 | Suspected BUY Trade | 15:09:15 - 13-Oct-25 | 
| Buy* | 2,571 | £5.10238 | Suspected BUY Trade | 14:15:59 - 13-Oct-25 | 
| Sell* | 4 | £5.09513 | Negotiated Trade | 14:15:58 - 13-Oct-25 | 
| Sell* | 110 | £5.095 | Automatic Execution | 12:49:22 - 13-Oct-25 | 
| Buy* | 1,957 | £5.1024 | Suspected BUY Trade | 11:55:12 - 13-Oct-25 | 
| Buy* | 312 | £5.1044 | Suspected BUY Trade | 11:19:16 - 13-Oct-25 | 
| Buy* | 2,939 | £5.10309 | Suspected BUY Trade | 10:23:47 - 13-Oct-25 | 
| Sell* | 534 | £5.09642 | Negotiated Trade | 10:22:05 - 13-Oct-25 |