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Vanguard USD Corporate Bond UCITS ETF Accumulating (VCPA) Share Trades

Buy/Sell Volume Trade Prc Trade Type Trade Time
Sell* 2,424 £45.21016 Negotiated Trade
14:45:42 - 19-May-26
Buy* 22 £45.381 Suspected BUY Trade
10:18:57 - 19-May-26
Buy* 97 £45.566 Automatic Execution
15:14:55 - 18-May-26
Sell* 242 £45.509 Negotiated Trade
15:13:22 - 18-May-26
Buy* 33 £45.531 Suspected BUY Trade
14:14:05 - 18-May-26
Buy* 34 £45.561 Suspected BUY Trade
10:19:06 - 18-May-26
Sell* 1,117 £45.53016 Negotiated Trade
10:19:05 - 18-May-26
Sell* 154 £45.56896 Negotiated Trade
15:19:03 - 15-May-26
Buy* 4 £45.60704 Suspected BUY Trade
15:19:03 - 15-May-26
Buy* 11 £45.6566 Suspected BUY Trade
14:17:31 - 15-May-26
Sell* 78 £45.57248 Negotiated Trade
14:13:50 - 15-May-26
Buy* 16 £45.6587 Suspected BUY Trade
14:13:49 - 15-May-26
Buy* 12 £45.75004 Suspected BUY Trade
10:19:13 - 15-May-26
Buy* 37 £45.7763 Suspected BUY Trade
08:00:28 - 15-May-26
Buy* 943 £45.7776 Suspected BUY Trade
08:00:25 - 15-May-26
Buy* 1 £45.42084 Suspected BUY Trade
15:16:46 - 14-May-26
Sell* 25 £45.40616 Negotiated Trade
15:09:02 - 14-May-26
Buy* 46 £45.363 Suspected BUY Trade
10:23:24 - 14-May-26
Sell* 687 £45.201 Uncrossing Trade
16:35:22 - 13-May-26
Buy* 88 £45.282 Automatic Execution
16:03:24 - 13-May-26
Sell* 10 £45.264 Negotiated Trade
15:16:31 - 13-May-26
Sell* 4 £45.31116 Negotiated Trade
14:13:32 - 13-May-26
Buy* 725 £45.30 Automatic Execution
12:47:39 - 13-May-26
Buy* 257 £45.30 Automatic Execution
12:40:48 - 13-May-26
Buy* 258 £45.30 Automatic Execution
12:32:54 - 13-May-26
Sell* 1 £45.24956 Negotiated Trade
15:08:36 - 12-May-26
Buy* 2 £45.31124 Suspected BUY Trade
15:02:55 - 12-May-26
Sell* 1 £45.24832 Negotiated Trade
14:13:48 - 12-May-26
Sell* 24 £45.26388 Negotiated Trade
10:18:58 - 12-May-26
Buy* 42 £45.32288 Ordinary
10:18:57 - 12-May-26
Buy* 22 £45.2209 Suspected BUY Trade
08:06:24 - 12-May-26
Sell* 1,182 £45.002 Uncrossing Trade
16:35:00 - 11-May-26
Sell* 299 £45.09 Automatic Execution
15:38:40 - 11-May-26
Buy* 34 £45.109 Automatic Execution
15:35:51 - 11-May-26
Buy* 265 £45.107 Automatic Execution
15:35:51 - 11-May-26
Sell* 140 £45.09 Automatic Execution
15:35:51 - 11-May-26
Sell* 299 £45.09 Automatic Execution
15:35:51 - 11-May-26
Buy* 1 £45.10848 Suspected BUY Trade
15:25:31 - 11-May-26
Sell* 178 £45.09 Automatic Execution
15:15:23 - 11-May-26
Sell* 324 £45.09 Automatic Execution
15:15:22 - 11-May-26
Sell* 3 £45.0966 Negotiated Trade
15:12:21 - 11-May-26
Buy* 14 £45.16896 Suspected BUY Trade
14:06:33 - 11-May-26
Sell* 65 £45.11316 Negotiated Trade
10:19:06 - 11-May-26
Buy* 59 £45.14784 Suspected BUY Trade
10:19:05 - 11-May-26
Unknown* 1 £45.14884 Negotiated Trade
09:58:14 - 11-May-26
Unknown* -1 £45.14884 Correction
Negotiated Trade
09:58:14 - 11-May-26
Buy* 1 £45.14884 Suspected BUY Trade
09:58:14 - 11-May-26
Unknown* 7 £45.14884 Negotiated Trade
09:58:12 - 11-May-26
Unknown* -7 £45.14884 Correction
Negotiated Trade
09:58:12 - 11-May-26
Buy* 7 £45.14884 Suspected BUY Trade
09:58:12 - 11-May-26
Buy* 20 £45.05 Automatic Execution
08:00:20 - 11-May-26
Buy* 3 £45.188 Suspected BUY Trade
15:26:02 - 08-May-26
Buy* 2 £45.14896 Suspected BUY Trade
14:13:40 - 08-May-26
Sell* 3 £45.11316 Negotiated Trade
12:23:42 - 08-May-26
Sell* 12 £45.068 Negotiated Trade
10:19:14 - 08-May-26
Buy* 2 £45.102 Suspected BUY Trade
10:19:13 - 08-May-26
Buy* 11 £45.105 Automatic Execution
16:18:10 - 07-May-26
Sell* 1 £45.1046 Negotiated Trade
16:14:04 - 07-May-26
Buy* 1 £45.17948 Suspected BUY Trade
15:49:06 - 07-May-26
Buy* 1 £45.17948 Suspected BUY Trade
15:49:05 - 07-May-26
Buy* 4 £45.17632 Suspected BUY Trade
15:28:30 - 07-May-26
Sell* 42 £45.15436 Negotiated Trade
15:20:23 - 07-May-26
Sell* 326 £45.154 Automatic Execution
15:13:58 - 07-May-26
Buy* 4 £45.212 Automatic Execution
15:07:08 - 07-May-26
Buy* 86 £45.17 Automatic Execution
14:51:58 - 07-May-26
Sell* 467 £45.175 Automatic Execution
10:20:11 - 07-May-26
Sell* 500 £45.183 Automatic Execution
10:19:46 - 07-May-26
Sell* 967 £45.18595 Negotiated Trade
10:19:05 - 07-May-26
Buy* 7 £45.22362 Suspected BUY Trade
10:19:04 - 07-May-26
Sell* 1 £45.182 SI Trade
10:02:05 - 07-May-26
Sell* 3 £45.23 Automatic Execution
16:19:59 - 06-May-26
Sell* 260 £45.155 Automatic Execution
15:50:26 - 06-May-26
Buy* 5 £45.283 Automatic Execution
15:49:05 - 06-May-26
Sell* 261 £45.177 Automatic Execution
15:49:04 - 06-May-26
Sell* 4 £45.205 Automatic Execution
15:49:04 - 06-May-26
Buy* 3 £45.22052 Suspected BUY Trade
15:44:19 - 06-May-26
Sell* 90 £45.145 Automatic Execution
14:47:12 - 06-May-26
Sell* 337 £45.16464 Negotiated Trade
12:44:44 - 06-May-26
Buy* 472 £45.195 Suspected BUY Trade
16:35:16 - 05-May-26
Buy* 1 £45.20784 Suspected BUY Trade
15:27:29 - 05-May-26
Sell* 1 £45.13516 Negotiated Trade
15:23:34 - 05-May-26
Buy* 19 £45.21684 Suspected BUY Trade
15:11:52 - 05-May-26
Sell* 88 £45.14513 Negotiated Trade
15:06:58 - 05-May-26
Buy* 30 £45.20 Automatic Execution
13:10:48 - 05-May-26
Buy* 35 £45.20 Automatic Execution
13:10:47 - 05-May-26
Buy* 30 £45.201 Automatic Execution
13:10:38 - 05-May-26
Buy* 30 £45.201 Automatic Execution
13:10:31 - 05-May-26
Buy* 30 £45.20 Automatic Execution
13:10:18 - 05-May-26
Buy* 30 £45.206 Automatic Execution
13:10:01 - 05-May-26
Buy* 30 £45.206 Automatic Execution
13:09:49 - 05-May-26
Buy* 30 £45.206 Automatic Execution
13:09:38 - 05-May-26
Buy* 30 £45.206 Automatic Execution
13:09:30 - 05-May-26
Buy* 40 £45.20 Automatic Execution
13:09:19 - 05-May-26
Buy* 20 £45.15 Automatic Execution
13:09:08 - 05-May-26
Buy* 30 £45.15 Automatic Execution
13:08:51 - 05-May-26
Buy* 30 £45.15 Automatic Execution
13:08:40 - 05-May-26
Buy* 30 £45.15 Automatic Execution
13:08:26 - 05-May-26
Buy* 30 £45.15 Automatic Execution
13:08:15 - 05-May-26
Buy* 455 £45.14577 Suspected BUY Trade
13:05:34 - 05-May-26
Sell* 1,086 £45.13336 Negotiated Trade
10:19:14 - 05-May-26
Buy* 450 £45.17795 Ordinary
10:19:14 - 05-May-26
Buy* 50 £45.132 Automatic Execution
09:31:23 - 05-May-26
Sell* 100 £45.06398 Ordinary
08:15:11 - 05-May-26
Buy* 500 £44.99646 Ordinary
16:29:30 - 01-May-26
Buy* 2 £45.01874 Suspected BUY Trade
16:05:24 - 01-May-26
Sell* 12 £45.04 Automatic Execution
15:53:33 - 01-May-26
Buy* 12 £44.95 Automatic Execution
15:51:12 - 01-May-26
Buy* 245 £44.95 Automatic Execution
15:50:39 - 01-May-26
Buy* 489 £44.95 Automatic Execution
15:50:39 - 01-May-26
Buy* 479 £44.95 Automatic Execution
15:50:39 - 01-May-26
Sell* 4 £44.965 Automatic Execution
15:50:39 - 01-May-26
Sell* 221 £44.967 Automatic Execution
15:50:39 - 01-May-26
Sell* 576 £44.968 Automatic Execution
15:50:39 - 01-May-26
Sell* 173 £44.974 Automatic Execution
15:50:39 - 01-May-26
Sell* 119 £44.9627 Negotiated Trade
15:38:02 - 01-May-26
Buy* 12 £45.02 Automatic Execution
14:44:22 - 01-May-26
Buy* 194 £45.01 Automatic Execution
14:42:01 - 01-May-26
Buy* 131 £44.98 Automatic Execution
14:42:01 - 01-May-26
Buy* 16 £44.961 SI Trade
14:13:49 - 01-May-26
Sell* 8 £45.03 Automatic Execution
12:07:00 - 01-May-26
Buy* 94 £45.034 Automatic Execution
12:07:00 - 01-May-26
Buy* 100 £44.99 Automatic Execution
12:07:00 - 01-May-26
Sell* 9 £45.06 Automatic Execution
10:19:25 - 01-May-26
Buy* 232 £45.034 Ordinary
10:19:06 - 01-May-26
Buy* 200 £45.095 Automatic Execution
08:05:00 - 01-May-26
Sell* 25 £45.09 Automatic Execution
16:21:02 - 30-Apr-26
Buy* 40 £45.085 Automatic Execution
16:14:08 - 30-Apr-26
Buy* 30 £45.086 Automatic Execution
16:12:03 - 30-Apr-26
Buy* 3 £45.15217 Suspected BUY Trade
15:27:33 - 30-Apr-26
Buy* 1 £45.2472 Suspected BUY Trade
15:12:58 - 30-Apr-26
Sell* 4 £45.19583 Negotiated Trade
15:08:54 - 30-Apr-26
Buy* 31 £45.312 Automatic Execution
14:55:42 - 30-Apr-26
Buy* 325 £45.312 Automatic Execution
14:55:42 - 30-Apr-26
Buy* 23 £45.33 Automatic Execution
14:42:37 - 30-Apr-26
Buy* 134 £45.324 Automatic Execution
14:42:37 - 30-Apr-26
Buy* 1,740 £45.3215 Suspected BUY Trade
11:02:41 - 30-Apr-26
Sell* 1 £45.26883 Negotiated Trade
10:19:05 - 30-Apr-26
Buy* 25 £45.32038 Suspected BUY Trade
10:19:05 - 30-Apr-26
Buy* 2 £45.32384 Suspected BUY Trade
15:59:47 - 29-Apr-26
Buy* 13 £45.37881 Suspected BUY Trade
15:44:27 - 29-Apr-26
Buy* 335 £45.437 Automatic Execution
10:16:26 - 29-Apr-26
Buy* 13 £45.404 Automatic Execution
15:20:14 - 28-Apr-26
Buy* 2 £45.40132 Suspected BUY Trade
15:18:57 - 28-Apr-26
Buy* 43 £45.41725 Suspected BUY Trade
10:19:06 - 28-Apr-26
Sell* 224 £45.254 Automatic Execution
16:10:48 - 27-Apr-26
Sell* 23 £45.27124 Negotiated Trade
15:34:11 - 27-Apr-26
Buy* 2 £45.32544 Suspected BUY Trade
15:23:01 - 27-Apr-26
Buy* 2,182 £45.3145 Ordinary
14:17:29 - 27-Apr-26
Buy* 48 £45.33676 Ordinary
14:13:40 - 27-Apr-26
Buy* 14 £45.34675 Suspected BUY Trade
10:19:06 - 27-Apr-26
Sell* 13 £45.304 Negotiated Trade
10:19:06 - 27-Apr-26
Buy* 30 £45.553 Automatic Execution
16:27:16 - 24-Apr-26
Buy* 648 £45.535 Automatic Execution
16:14:27 - 24-Apr-26
Buy* 58 £45.535 Automatic Execution
16:14:27 - 24-Apr-26
Buy* 179 £45.53223 Suspected BUY Trade
15:24:43 - 24-Apr-26
Sell* 2 £45.50677 Negotiated Trade
14:13:57 - 24-Apr-26
Sell* 224 £45.53572 Negotiated Trade
10:35:27 - 24-Apr-26
Buy* 49 £45.5798 Suspected BUY Trade
10:23:23 - 24-Apr-26
Sell* 8 £45.5378 Negotiated Trade
10:19:06 - 24-Apr-26
Buy* 10 £45.586 Suspected BUY Trade
10:19:06 - 24-Apr-26
Sell* 836 £45.554 Uncrossing Trade
16:35:27 - 23-Apr-26
Buy* 148 £45.656 Automatic Execution
15:11:39 - 23-Apr-26
Buy* 5 £45.67829 Suspected BUY Trade
15:03:44 - 23-Apr-26
Buy* 175 £45.534 Automatic Execution
10:33:06 - 23-Apr-26
Buy* 110 £45.56214 Suspected BUY Trade
10:23:06 - 23-Apr-26
Buy* 65 £45.54186 Suspected BUY Trade
10:19:04 - 23-Apr-26
Sell* 89 £45.529 Automatic Execution
10:17:05 - 23-Apr-26
Sell* 400 £45.577 Automatic Execution
09:30:00 - 23-Apr-26
Sell* 662 £45.639 Automatic Execution
16:14:33 - 22-Apr-26
Sell* 950 £45.645 Automatic Execution
16:09:45 - 22-Apr-26
Sell* 5 £45.675 Automatic Execution
16:02:16 - 22-Apr-26
Buy* 1 £45.63035 Suspected BUY Trade
15:14:29 - 22-Apr-26
Buy* 6 £45.679 Automatic Execution
14:14:05 - 22-Apr-26
Buy* 221 £45.6553 Suspected BUY Trade
14:14:04 - 22-Apr-26
Sell* 17 £45.503 Automatic Execution
12:02:56 - 22-Apr-26
Sell* 17 £45.45436 Negotiated Trade
10:19:14 - 22-Apr-26
Buy* 219 £45.5113 Suspected BUY Trade
10:19:14 - 22-Apr-26
Sell* 11 £45.53616 Negotiated Trade
15:08:54 - 21-Apr-26
Buy* 1 £45.61498 Suspected BUY Trade
15:01:02 - 21-Apr-26
Buy* 50 £45.61 Automatic Execution
14:16:16 - 21-Apr-26
Buy* 224 £45.6257 Suspected BUY Trade
12:25:21 - 21-Apr-26
Sell* 108 £45.642 Automatic Execution
10:23:03 - 21-Apr-26
Sell* 355 £45.65453 Negotiated Trade
10:19:06 - 21-Apr-26
Buy* 140 £45.689 Suspected BUY Trade
10:19:06 - 21-Apr-26
Buy* 417 £45.567 Suspected BUY Trade
16:35:23 - 20-Apr-26
Buy* 159 £45.59172 Suspected BUY Trade
15:18:18 - 20-Apr-26
Sell* 1 £45.54216 Negotiated Trade
15:07:52 - 20-Apr-26
Buy* 53 £45.6136 Suspected BUY Trade
14:13:42 - 20-Apr-26
Buy* 158 £45.608 Automatic Execution
13:27:30 - 20-Apr-26
Buy* 91 £45.62301 Ordinary
10:19:06 - 20-Apr-26
Sell* 4 £45.56576 Negotiated Trade
10:19:05 - 20-Apr-26
Buy* 1 £45.559 Automatic Execution
08:24:38 - 20-Apr-26
Sell* 6 £45.491 Automatic Execution
16:01:01 - 17-Apr-26
Buy* 216 £45.515 Automatic Execution
15:20:46 - 17-Apr-26
Buy* 5 £45.51833 Suspected BUY Trade
15:18:56 - 17-Apr-26
Sell* 250 £45.479 Automatic Execution
15:10:21 - 17-Apr-26
Buy* 148 £45.531 Automatic Execution
15:09:35 - 17-Apr-26
Buy* 3 £45.39108 Suspected BUY Trade
10:19:05 - 17-Apr-26
Buy* 88 £45.428 Automatic Execution
08:59:16 - 17-Apr-26
Buy* 89 £45.435 Automatic Execution
08:52:42 - 17-Apr-26
FTSE 100 Latest
Value10,330.55
Change6.80