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Vanusdcorpbd (VCPA) Share Trades

Buy/Sell Volume Trade Prc Trade Type Trade Time
Sell* 43 £46.245 Automatic Execution
16:09:31 - 28-Nov-25
Buy* 131 £46.245 Automatic Execution
16:09:31 - 28-Nov-25
Sell* 102 £46.3512 Negotiated Trade
15:20:24 - 28-Nov-25
Buy* 2 £46.3838 Suspected BUY Trade
15:16:38 - 28-Nov-25
Buy* 119 £46.4418 Suspected BUY Trade
14:13:24 - 28-Nov-25
Buy* 55 £46.4318 Suspected BUY Trade
10:21:21 - 28-Nov-25
Sell* 247 £46.365 Automatic Execution
09:47:28 - 28-Nov-25
Buy* 79 £46.69 Automatic Execution
08:07:51 - 28-Nov-25
Buy* 215 £46.65 Automatic Execution
08:07:51 - 28-Nov-25
Buy* 328 £46.645 Automatic Execution
08:07:50 - 28-Nov-25
Sell* 247 £46.45 Automatic Execution
08:07:04 - 28-Nov-25
Buy* 328 £46.625 Automatic Execution
08:05:37 - 28-Nov-25
Buy* 46 £46.3785 Suspected BUY Trade
15:04:32 - 27-Nov-25
Buy* 1 £46.4232 Suspected BUY Trade
10:19:12 - 27-Nov-25
Sell* 49 £46.39 Negotiated Trade
09:25:24 - 27-Nov-25
Buy* 2 £46.31865 Suspected BUY Trade
15:05:42 - 26-Nov-25
Sell* 1 £46.27195 Negotiated Trade
15:03:10 - 26-Nov-25
Sell* 3 £46.4815 Negotiated Trade
10:18:58 - 26-Nov-25
Buy* 5 £46.5285 Suspected BUY Trade
10:18:57 - 26-Nov-25
Buy* 2 £46.4285 Suspected BUY Trade
15:13:02 - 25-Nov-25
Buy* 2,130 £46.4652 Suspected BUY Trade
14:13:33 - 25-Nov-25
Sell* 9 £46.465 Automatic Execution
13:50:42 - 25-Nov-25
Sell* 169 £46.47 Automatic Execution
13:50:42 - 25-Nov-25
Buy* 34 £46.5335 Suspected BUY Trade
10:18:57 - 25-Nov-25
Buy* 16 £46.6035 Suspected BUY Trade
15:16:51 - 24-Nov-25
Sell* 1 £46.5715 Negotiated Trade
15:11:25 - 24-Nov-25
Buy* 1 £46.59865 Suspected BUY Trade
15:06:20 - 24-Nov-25
Sell* 76 £46.5415 Negotiated Trade
10:19:15 - 24-Nov-25
Buy* 14 £46.5849 Suspected BUY Trade
10:19:14 - 24-Nov-25
Buy* 331 £46.485 Suspected BUY Trade
16:35:04 - 21-Nov-25
Sell* 4 £46.4515 Negotiated Trade
15:14:00 - 21-Nov-25
Buy* 1 £46.52305 Suspected BUY Trade
15:05:37 - 21-Nov-25
Sell* 14 £46.5142 Negotiated Trade
14:13:50 - 21-Nov-25
Buy* 138 £46.5535 Suspected BUY Trade
14:13:48 - 21-Nov-25
Buy* 2 £46.7052 Suspected BUY Trade
10:19:13 - 21-Nov-25
Sell* 1 £46.455 Automatic Execution
08:46:24 - 21-Nov-25
Buy* 1,310 £46.50 Automatic Execution
15:52:28 - 20-Nov-25
Buy* 328 £46.495 Automatic Execution
15:52:28 - 20-Nov-25
Buy* 269 £46.495 Automatic Execution
15:52:28 - 20-Nov-25
Buy* 519 £46.415 Automatic Execution
15:18:23 - 20-Nov-25
Buy* 328 £46.415 Automatic Execution
15:18:23 - 20-Nov-25
Buy* 380 £46.41 Automatic Execution
15:18:23 - 20-Nov-25
Buy* 21 £46.4138 Suspected BUY Trade
15:17:43 - 20-Nov-25
Buy* 35 £46.44335 Suspected BUY Trade
14:13:40 - 20-Nov-25
Buy* 5,663 £46.4285 Suspected BUY Trade
13:39:48 - 20-Nov-25
Sell* 14 £46.455 Automatic Execution
13:12:48 - 20-Nov-25
Sell* 136 £46.375 Automatic Execution
10:38:42 - 20-Nov-25
Buy* 2,093 £46.411 Suspected BUY Trade
10:19:13 - 20-Nov-25
Sell* 113 £46.43 Automatic Execution
09:27:52 - 20-Nov-25
Sell* 113 £46.445 Automatic Execution
09:21:52 - 20-Nov-25
Sell* 100 £46.445 Automatic Execution
09:06:12 - 20-Nov-25
Buy* 2 £46.50 Suspected BUY Trade
08:57:11 - 20-Nov-25
Sell* 779 £46.4082 Negotiated Trade
08:00:24 - 20-Nov-25
Sell* 170 £46.65 Automatic Execution
08:00:23 - 20-Nov-25
Buy* 2 £46.48 SI Trade
16:24:53 - 19-Nov-25
Buy* 3 £46.455 Automatic Execution
16:19:23 - 19-Nov-25
Buy* 3 £46.47 Automatic Execution
16:00:26 - 19-Nov-25
Buy* 45 £46.35865 Suspected BUY Trade
15:09:11 - 19-Nov-25
Buy* 3 £46.34 Automatic Execution
14:43:56 - 19-Nov-25
Buy* 86 £46.3238 Suspected BUY Trade
14:13:40 - 19-Nov-25
Sell* 22 £46.2145 Negotiated Trade
10:33:28 - 19-Nov-25
Buy* 2 £46.24335 Suspected BUY Trade
10:19:05 - 19-Nov-25
Buy* 1,298 £46.2002 Suspected BUY Trade
08:44:21 - 19-Nov-25
Sell* 1,645 £46.175 Automatic Execution
16:14:02 - 18-Nov-25
Buy* 2 £46.1788 Suspected BUY Trade
15:12:04 - 18-Nov-25
Sell* 5 £46.1465 Negotiated Trade
14:13:48 - 18-Nov-25
Buy* 1,645 £46.1968 Suspected BUY Trade
13:37:36 - 18-Nov-25
Buy* 109 £46.22604 Ordinary
10:23:26 - 18-Nov-25
Sell* 32 £46.1576 Negotiated Trade
10:19:14 - 18-Nov-25
Buy* 95 £46.20563 Ordinary
10:19:14 - 18-Nov-25
Sell* 16 £46.05135 Negotiated Trade
15:34:23 - 17-Nov-25
Buy* 43 £46.0185 Suspected BUY Trade
14:13:48 - 17-Nov-25
Sell* 134 £45.995 Automatic Execution
13:17:44 - 17-Nov-25
Sell* 161 £46.005 Automatic Execution
13:17:43 - 17-Nov-25
Buy* 8 £46.155 Suspected BUY Trade
11:15:09 - 17-Nov-25
Buy* 94 £46.14578 Ordinary
10:19:14 - 17-Nov-25
Sell* 993 £46.11 Automatic Execution
08:53:40 - 17-Nov-25
Buy* 96 £46.08042 Ordinary
08:00:44 - 17-Nov-25
Buy* 2 £46.2185 Suspected BUY Trade
15:11:27 - 14-Nov-25
Sell* 2 £46.17635 Negotiated Trade
15:10:11 - 14-Nov-25
Buy* 144 £46.2442 Ordinary
14:13:49 - 14-Nov-25
Sell* 111 £46.14635 Negotiated Trade
10:18:58 - 14-Nov-25
Buy* 6 £46.18865 Suspected BUY Trade
10:18:56 - 14-Nov-25
Buy* 10 £46.0766 Suspected BUY Trade
15:42:40 - 13-Nov-25
Buy* 5 £46.1297 Suspected BUY Trade
15:16:16 - 13-Nov-25
Sell* 134 £46.13 Automatic Execution
15:13:36 - 13-Nov-25
Sell* 135 £46.145 Automatic Execution
15:13:00 - 13-Nov-25
Sell* 1,099 £46.223 Negotiated Trade
12:40:29 - 13-Nov-25
Sell* 17 £46.3221 Negotiated Trade
10:19:05 - 13-Nov-25
Sell* 591 £46.3756 Negotiated Trade
09:50:37 - 13-Nov-25
Buy* 215 £46.39601 Ordinary
09:31:47 - 13-Nov-25
Buy* 107 £46.63625 Suspected BUY Trade
14:19:54 - 12-Nov-25
Buy* 71 £46.5838 Suspected BUY Trade
14:13:49 - 12-Nov-25
Sell* 11 £46.5462 Negotiated Trade
14:13:49 - 12-Nov-25
Buy* 220 £46.49218 Ordinary
11:18:15 - 12-Nov-25
Buy* 9 £46.51835 Suspected BUY Trade
10:19:04 - 12-Nov-25
Sell* 2,053 £46.46325 Negotiated Trade
10:13:06 - 12-Nov-25
Buy* 2,000 £46.48353 Ordinary
09:55:29 - 12-Nov-25
Buy* 429 £46.2885 Suspected BUY Trade
15:18:08 - 11-Nov-25
Sell* 108 £46.19635 Negotiated Trade
14:45:45 - 11-Nov-25
Buy* 216 £46.2685 Suspected BUY Trade
14:13:16 - 11-Nov-25
Buy* 23 £46.2762 Suspected BUY Trade
11:29:38 - 11-Nov-25
Buy* 3 £46.2782 Suspected BUY Trade
11:29:37 - 11-Nov-25
Buy* 2,000 £46.296 Suspected BUY Trade
10:51:34 - 11-Nov-25
Sell* 31 £46.2865 Negotiated Trade
10:19:07 - 11-Nov-25
Buy* 451 £46.32133 Ordinary
10:19:06 - 11-Nov-25
Sell* 258 £46.33 Automatic Execution
08:26:03 - 11-Nov-25
Sell* 97 £46.2112 Negotiated Trade
15:22:28 - 10-Nov-25
Buy* 3 £46.2388 Suspected BUY Trade
15:15:40 - 10-Nov-25
Buy* 48 £46.0935 Suspected BUY Trade
10:19:14 - 10-Nov-25
Sell* 4 £46.0465 Negotiated Trade
10:19:14 - 10-Nov-25
Buy* 1 £46.1685 Suspected BUY Trade
15:11:08 - 07-Nov-25
Sell* 3 £46.33635 Negotiated Trade
12:21:07 - 07-Nov-25
Sell* 6 £46.4018 Negotiated Trade
10:19:14 - 07-Nov-25
Buy* 2 £46.4582 Suspected BUY Trade
10:19:13 - 07-Nov-25
Sell* 1,604 £46.375 Uncrossing Trade
16:35:06 - 06-Nov-25
Buy* 7 £46.43865 Suspected BUY Trade
15:24:38 - 06-Nov-25
Buy* 1 £46.4835 Suspected BUY Trade
15:13:38 - 06-Nov-25
Sell* 1 £46.425 SI Trade
14:38:17 - 06-Nov-25
Sell* 37 £46.395 Automatic Execution
12:38:04 - 06-Nov-25
Buy* 55 £46.42103 Ordinary
10:19:13 - 06-Nov-25
Buy* 2 £46.55 Automatic Execution
16:24:54 - 05-Nov-25
Buy* 3 £46.56 Automatic Execution
16:23:09 - 05-Nov-25
Buy* 3 £46.56 Automatic Execution
16:03:20 - 05-Nov-25
Sell* 17 £46.5665 Negotiated Trade
15:16:30 - 05-Nov-25
Sell* 3 £46.635 Automatic Execution
14:41:25 - 05-Nov-25
Sell* 4 £46.66135 Negotiated Trade
10:18:57 - 05-Nov-25
Buy* 2 £46.70365 Suspected BUY Trade
10:18:56 - 05-Nov-25
Buy* 73 £46.7712 Suspected BUY Trade
08:00:19 - 05-Nov-25
Buy* 96 £46.7708 Suspected BUY Trade
08:00:19 - 05-Nov-25
Buy* 319 £46.7702 Suspected BUY Trade
08:00:18 - 05-Nov-25
Sell* 39 £46.6065 Negotiated Trade
15:21:22 - 04-Nov-25
Buy* 29 £46.6282 Suspected BUY Trade
15:15:25 - 04-Nov-25
Sell* 1 £46.50135 Negotiated Trade
14:13:57 - 04-Nov-25
Buy* 42 £46.5404 Suspected BUY Trade
14:13:57 - 04-Nov-25
Buy* 644 £46.5543 Suspected BUY Trade
12:29:56 - 04-Nov-25
Buy* 1,149 £46.53391 Ordinary
10:19:14 - 04-Nov-25
Sell* 3 £46.4918 Negotiated Trade
10:19:13 - 04-Nov-25
Sell* 1,200 £46.4899 Ordinary
10:11:54 - 04-Nov-25
Sell* 880 £46.3635 Negotiated Trade
08:35:03 - 04-Nov-25
Buy* 2 £46.195 Automatic Execution
16:23:05 - 03-Nov-25
Buy* 3 £46.19 SI Trade
16:22:34 - 03-Nov-25
Buy* 4 £46.19 Automatic Execution
16:21:54 - 03-Nov-25
Buy* 15 £46.2888 Suspected BUY Trade
15:29:59 - 03-Nov-25
Sell* 4 £46.2512 Negotiated Trade
15:29:17 - 03-Nov-25
Buy* 5 £46.35 Automatic Execution
14:29:03 - 03-Nov-25
Buy* 1,136 £46.35207 Ordinary
14:29:02 - 03-Nov-25
Buy* 241 £46.33756 Ordinary
14:13:50 - 03-Nov-25
Buy* 5 £46.29 SI Trade
13:05:21 - 03-Nov-25
Sell* 1,303 £46.275 Automatic Execution
13:01:04 - 03-Nov-25
Sell* 7 £46.29 Automatic Execution
13:01:04 - 03-Nov-25
Sell* 72 £46.27 Automatic Execution
13:01:04 - 03-Nov-25
Buy* 543 £46.304 Ordinary
12:59:23 - 03-Nov-25
Buy* 13 £46.37 Automatic Execution
12:34:43 - 03-Nov-25
Buy* 794 £46.37223 Ordinary
12:29:42 - 03-Nov-25
Sell* 5 £46.36 Automatic Execution
11:15:04 - 03-Nov-25
Buy* 124 £46.40762 Ordinary
10:19:14 - 03-Nov-25
Sell* 1 £46.3618 Negotiated Trade
10:19:14 - 03-Nov-25
Sell* 242 £46.37275 Negotiated Trade
09:50:19 - 03-Nov-25
Buy* 215 £46.42324 Ordinary
15:41:53 - 31-Oct-25
Buy* 5 £46.46335 Suspected BUY Trade
15:18:59 - 31-Oct-25
Buy* 2 £46.47865 Suspected BUY Trade
15:10:00 - 31-Oct-25
Buy* 10 £46.5382 Suspected BUY Trade
14:13:58 - 31-Oct-25
Sell* 254 £46.358 Negotiated Trade
10:18:58 - 31-Oct-25
Buy* 6 £46.4132 Suspected BUY Trade
10:18:57 - 31-Oct-25
Buy* 215 £46.37736 Ordinary
08:16:42 - 31-Oct-25
Buy* 958 £46.4124 Suspected BUY Trade
08:00:13 - 31-Oct-25
Buy* 914 £46.4126 Suspected BUY Trade
08:00:13 - 31-Oct-25
Sell* 255 £46.475 Automatic Execution
16:04:16 - 30-Oct-25
Sell* 95 £46.48 Automatic Execution
16:04:16 - 30-Oct-25
Buy* 1 £46.45835 Suspected BUY Trade
15:10:17 - 30-Oct-25
Sell* 47 £46.3368 Negotiated Trade
14:13:33 - 30-Oct-25
Buy* 863 £46.37855 Ordinary
14:13:32 - 30-Oct-25
Buy* 145 £46.46 Automatic Execution
13:24:56 - 30-Oct-25
Buy* 144 £46.46 Automatic Execution
13:24:56 - 30-Oct-25
Buy* 215 £46.42523 Ordinary
10:22:12 - 30-Oct-25
Sell* 33,446 £46.39319 Ordinary
10:19:14 - 30-Oct-25
Buy* 189 £46.4312 Suspected BUY Trade
10:19:14 - 30-Oct-25
Buy* 315 £46.4168 Suspected BUY Trade
16:07:45 - 29-Oct-25
Sell* 1 £46.465 Automatic Execution
10:58:07 - 29-Oct-25
Sell* 3 £46.45665 Negotiated Trade
10:19:06 - 29-Oct-25
Buy* 86 £46.50751 Ordinary
10:19:05 - 29-Oct-25
Buy* 108 £46.29607 Ordinary
16:05:54 - 28-Oct-25
Sell* 8,459 £46.305 Automatic Execution
15:58:43 - 28-Oct-25
Buy* 182 £46.305 Automatic Execution
15:58:43 - 28-Oct-25
Sell* 1 £46.25105 Negotiated Trade
15:08:33 - 28-Oct-25
Buy* 43 £46.30895 Suspected BUY Trade
14:13:57 - 28-Oct-25
Sell* 1 £46.1515 Negotiated Trade
10:19:14 - 28-Oct-25
Buy* 31 £46.19679 Ordinary
10:19:14 - 28-Oct-25
Sell* 389 £46.045 Automatic Execution
16:28:41 - 27-Oct-25
Sell* 200 £46.0142 Ordinary
15:36:57 - 27-Oct-25
Sell* 72 £46.02105 Negotiated Trade
15:24:42 - 27-Oct-25
Buy* 4 £46.0588 Suspected BUY Trade
15:20:27 - 27-Oct-25
Buy* 391 £46.02374 Ordinary
14:13:50 - 27-Oct-25
Sell* 255 £45.9325 Negotiated Trade
10:19:14 - 27-Oct-25
Buy* 678 £45.96353 Ordinary
10:19:14 - 27-Oct-25
Sell* 70 £45.9691 Negotiated Trade
09:01:47 - 27-Oct-25
Sell* 3,053 £45.95566 Ordinary
08:46:45 - 27-Oct-25
Sell* 24 £46.05 Automatic Execution
08:04:36 - 27-Oct-25
Sell* 134 £45.87975 Negotiated Trade
08:00:33 - 27-Oct-25
FTSE 100 Latest
Value9,720.51
Change26.58