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X S&p 500 Ew 2d (XDED) Share Trades

Buy/Sell Volume Trade Prc Trade Type Trade Time
Sell* 252 £69.92 Automatic Execution
16:07:48 - 12-Nov-25
Sell* 200 £69.954 Negotiated Trade
16:03:29 - 12-Nov-25
Buy* 198 £70.17717 Ordinary
15:19:41 - 12-Nov-25
Sell* 181 £69.8918 Negotiated Trade
13:27:22 - 12-Nov-25
Buy* 700 £69.76224 SI Trade
11:46:34 - 12-Nov-25
Sell* 82 £69.7312 Negotiated Trade
11:43:27 - 12-Nov-25
Sell* 36 £69.7402 Negotiated Trade
11:23:03 - 12-Nov-25
Buy* 268 £69.85101 Ordinary
10:19:29 - 12-Nov-25
Sell* 2,802 £69.80482 Ordinary
10:15:13 - 12-Nov-25
Sell* 21 £69.8133 Negotiated Trade
10:14:38 - 12-Nov-25
Sell* 128 £69.8167 Negotiated Trade
10:13:29 - 12-Nov-25
Sell* 210 £69.80181 Ordinary
10:09:59 - 12-Nov-25
Sell* 77 £69.124 Negotiated Trade
14:47:47 - 11-Nov-25
Sell* 274 £69.11 Result of RFQ
14:42:22 - 11-Nov-25
Sell* 274 £69.0985 Negotiated Trade
14:42:16 - 11-Nov-25
Sell* 181 £69.236 Negotiated Trade
13:14:14 - 11-Nov-25
Sell* 154 £69.24634 Ordinary
11:28:14 - 11-Nov-25
Sell* 134 £69.3023 Negotiated Trade
11:09:55 - 11-Nov-25
Sell* 29 £69.2425 Negotiated Trade
10:56:16 - 11-Nov-25
Sell* 91 £69.2525 Negotiated Trade
10:53:37 - 11-Nov-25
Sell* 345 £69.2815 Negotiated Trade
10:38:08 - 11-Nov-25
Buy* 72 £69.3243 Suspected BUY Trade
09:30:48 - 11-Nov-25
Sell* 52 £69.25428 Ordinary
08:27:38 - 11-Nov-25
Sell* 120 £69.1003 Negotiated Trade
10:51:51 - 10-Nov-25
Sell* 257 £69.0884 Negotiated Trade
10:41:51 - 10-Nov-25
Buy* 62 £69.13555 Ordinary
10:41:34 - 10-Nov-25
Sell* 20 £69.0035 Negotiated Trade
10:12:23 - 10-Nov-25
Buy* 288 £69.0667 Suspected BUY Trade
09:25:35 - 10-Nov-25
Buy* 115 £69.0079 Suspected BUY Trade
09:13:17 - 10-Nov-25
Sell* 23 £68.2056 Negotiated Trade
15:33:46 - 07-Nov-25
Buy* 100 £68.4565 Suspected BUY Trade
11:52:43 - 07-Nov-25
Buy* 125 £68.4509 Suspected BUY Trade
11:49:36 - 07-Nov-25
Buy* 44 £68.50 Automatic Execution
11:12:54 - 07-Nov-25
Sell* 37 £68.5341 Negotiated Trade
10:52:59 - 07-Nov-25
Sell* 95 £68.5604 Negotiated Trade
10:18:23 - 07-Nov-25
Buy* 20 £68.69 Automatic Execution
09:47:52 - 07-Nov-25
Buy* 65 £68.69 Automatic Execution
09:47:51 - 07-Nov-25
Buy* 40 £68.69 Automatic Execution
09:47:47 - 07-Nov-25
Buy* 8 £68.69 Automatic Execution
09:47:38 - 07-Nov-25
Buy* 32 £68.69 Automatic Execution
09:47:38 - 07-Nov-25
Buy* 20 £68.68 Automatic Execution
09:47:30 - 07-Nov-25
Buy* 20 £68.68 Automatic Execution
09:47:26 - 07-Nov-25
Buy* 20 £68.68 Automatic Execution
09:47:21 - 07-Nov-25
Buy* 40 £68.68 Automatic Execution
09:47:14 - 07-Nov-25
Buy* 20 £68.68 Automatic Execution
09:47:07 - 07-Nov-25
Buy* 20 £68.68 Automatic Execution
09:46:59 - 07-Nov-25
Buy* 20 £68.68 Automatic Execution
09:46:56 - 07-Nov-25
Buy* 40 £68.68 Automatic Execution
09:46:52 - 07-Nov-25
Buy* 20 £68.68 Automatic Execution
09:46:44 - 07-Nov-25
Buy* 20 £68.69 Automatic Execution
09:46:38 - 07-Nov-25
Buy* 40 £68.69 Automatic Execution
09:46:32 - 07-Nov-25
Buy* 40 £68.69 Automatic Execution
09:46:22 - 07-Nov-25
Buy* 9 £68.69 Automatic Execution
09:46:14 - 07-Nov-25
Buy* 11 £68.69 Automatic Execution
09:46:14 - 07-Nov-25
Buy* 20 £68.69 Automatic Execution
09:46:08 - 07-Nov-25
Buy* 20 £68.69 Automatic Execution
09:46:03 - 07-Nov-25
Buy* 20 £68.69 Automatic Execution
09:45:58 - 07-Nov-25
Buy* 20 £68.69 Automatic Execution
09:45:54 - 07-Nov-25
Buy* 20 £68.69 Automatic Execution
09:45:49 - 07-Nov-25
Buy* 20 £68.66 Automatic Execution
09:45:46 - 07-Nov-25
Buy* 23 £68.66 Automatic Execution
09:45:39 - 07-Nov-25
Buy* 17 £68.66 Automatic Execution
09:45:39 - 07-Nov-25
Buy* 20 £68.66 Automatic Execution
09:45:30 - 07-Nov-25
Buy* 20 £68.66 Automatic Execution
09:45:27 - 07-Nov-25
Buy* 20 £68.66 Automatic Execution
09:45:21 - 07-Nov-25
Buy* 20 £68.66 Automatic Execution
09:45:17 - 07-Nov-25
Buy* 20 £68.66 Automatic Execution
09:45:14 - 07-Nov-25
Buy* 765 £68.6566 Suspected BUY Trade
09:44:32 - 07-Nov-25
Buy* 494 £68.66 Automatic Execution
09:34:43 - 07-Nov-25
Buy* 495 £68.68 Automatic Execution
09:27:00 - 07-Nov-25
Buy* 60 £68.68 Automatic Execution
09:27:00 - 07-Nov-25
Sell* 144 £68.60 Automatic Execution
08:02:32 - 07-Nov-25
Sell* 210 £68.60 Automatic Execution
08:02:32 - 07-Nov-25
Sell* 4 £68.59 Automatic Execution
08:02:26 - 07-Nov-25
Sell* 216 £68.61 Automatic Execution
08:02:26 - 07-Nov-25
Sell* 216 £68.60 Automatic Execution
08:01:19 - 07-Nov-25
Sell* 78 £68.95321 Ordinary
15:11:29 - 06-Nov-25
Sell* 331 £69.1227 Negotiated Trade
10:57:17 - 06-Nov-25
Buy* 65 £69.077 Suspected BUY Trade
09:42:13 - 06-Nov-25
Sell* 86 £68.99251 Ordinary
08:35:03 - 06-Nov-25
Buy* 190 £68.99 Result of RFQ
16:19:25 - 05-Nov-25
Buy* 190 £68.9749 Suspected BUY Trade
16:14:53 - 05-Nov-25
Sell* 39 £68.98917 Ordinary
14:38:13 - 05-Nov-25
Sell* 117 £68.92 Automatic Execution
13:35:10 - 05-Nov-25
Buy* 834 £68.971 Suspected BUY Trade
11:29:15 - 05-Nov-25
Sell* 174 £68.9463 Negotiated Trade
11:22:03 - 05-Nov-25
Sell* 511 £68.89905 Ordinary
10:49:28 - 05-Nov-25
Buy* 35 £68.9075 Suspected BUY Trade
10:43:24 - 05-Nov-25
Sell* 466 £68.9074 Negotiated Trade
10:40:41 - 05-Nov-25
Buy* 1,109 £68.9503 Ordinary
10:37:45 - 05-Nov-25
Sell* 114 £68.89498 Ordinary
10:32:31 - 05-Nov-25
Buy* 50 £68.9897 Suspected BUY Trade
16:16:04 - 04-Nov-25
Sell* 304 £68.95 Automatic Execution
15:52:20 - 04-Nov-25
Sell* 99 £68.943 Negotiated Trade
15:04:00 - 04-Nov-25
Unknown* 260 £68.78 Result of RFQ
13:53:18 - 04-Nov-25
Buy* 260 £68.8015 Suspected BUY Trade
13:49:04 - 04-Nov-25
Buy* 79 £68.7604 Suspected BUY Trade
13:27:34 - 04-Nov-25
Sell* 117 £68.733 Negotiated Trade
12:58:42 - 04-Nov-25
Sell* 1,200 £68.6525 Negotiated Trade
10:57:13 - 04-Nov-25
Sell* 1,200 £68.6525 Ordinary
10:57:13 - 04-Nov-25
Buy* 11 £68.652 Suspected BUY Trade
10:40:19 - 04-Nov-25
Sell* 146 £68.5598 Negotiated Trade
10:29:56 - 04-Nov-25
Buy* 291 £68.6727 Suspected BUY Trade
09:43:04 - 04-Nov-25
Buy* 1,950 £68.5689 Suspected BUY Trade
08:32:10 - 04-Nov-25
Buy* 1,239 £68.5359 Suspected BUY Trade
08:29:54 - 04-Nov-25
Sell* 153 £68.47726 Ordinary
16:01:18 - 03-Nov-25
Buy* 130 £68.56 Automatic Execution
15:08:56 - 03-Nov-25
Sell* 61 £69.05965 Ordinary
12:36:29 - 03-Nov-25
Sell* 7 £69.134 Negotiated Trade
11:33:27 - 03-Nov-25
Sell* 4 £69.1235 Negotiated Trade
11:20:59 - 03-Nov-25
Sell* 290 £69.11351 Ordinary
10:39:20 - 03-Nov-25
Sell* 108 £69.11747 Ordinary
10:29:11 - 03-Nov-25
Sell* 85 £69.1735 Negotiated Trade
09:51:52 - 03-Nov-25
Sell* 1 £68.83 Negotiated Trade
08:00:31 - 03-Nov-25
Buy* 276 £68.97 Result of RFQ
12:16:27 - 31-Oct-25
Buy* 276 £68.9549 Suspected BUY Trade
12:13:09 - 31-Oct-25
Sell* 179 £68.63 Result of RFQ
10:37:45 - 31-Oct-25
Sell* 179 £68.61935 Negotiated Trade
10:33:26 - 31-Oct-25
Sell* 70 £68.6171 Negotiated Trade
10:32:54 - 31-Oct-25
Sell* 468 £68.6443 Ordinary
09:59:25 - 31-Oct-25
Buy* 1,083 £68.765 Suspected BUY Trade
09:29:24 - 31-Oct-25
Sell* 82 £69.32484 Ordinary
16:02:16 - 30-Oct-25
Sell* 37 £69.26 Automatic Execution
14:51:45 - 30-Oct-25
Sell* 43 £69.1407 Negotiated Trade
13:43:38 - 30-Oct-25
Buy* 117 £69.01 Automatic Execution
12:51:25 - 30-Oct-25
Sell* 117 £68.99 Automatic Execution
11:25:06 - 30-Oct-25
Sell* 37 £68.9325 Negotiated Trade
11:10:25 - 30-Oct-25
Buy* 252 £68.8986 Suspected BUY Trade
10:28:20 - 30-Oct-25
Sell* 205 £68.88 Result of RFQ
10:21:35 - 30-Oct-25
Sell* 30 £68.89 Result of RFQ
10:19:29 - 30-Oct-25
Sell* 235 £68.88595 Negotiated Trade
10:18:56 - 30-Oct-25
Sell* 210 £68.89621 Ordinary
10:17:53 - 30-Oct-25
Sell* 34 £69.1035 Negotiated Trade
16:00:45 - 29-Oct-25
Sell* 120 £69.2745 Negotiated Trade
13:37:45 - 29-Oct-25
Buy* 105 £69.53486 Ordinary
13:03:17 - 29-Oct-25
Sell* 105 £69.48333 Ordinary
13:01:12 - 29-Oct-25
Buy* 143 £69.50 Suspected BUY Trade
11:50:23 - 29-Oct-25
Sell* 117 £69.47 Automatic Execution
10:35:29 - 29-Oct-25
Sell* 176 £69.47 Result of RFQ
10:35:29 - 29-Oct-25
Buy* 31 £69.5151 Suspected BUY Trade
10:27:36 - 29-Oct-25
Sell* 293 £69.44595 Negotiated Trade
10:23:38 - 29-Oct-25
Sell* 7 £69.4435 Negotiated Trade
10:17:54 - 29-Oct-25
Sell* 445 £69.39 Result of RFQ
16:28:06 - 28-Oct-25
Sell* 445 £69.35595 Negotiated Trade
16:26:22 - 28-Oct-25
Sell* 119 £69.419 Negotiated Trade
16:16:21 - 28-Oct-25
Sell* 119 £69.5655 Negotiated Trade
14:50:17 - 28-Oct-25
Sell* 117 £69.72 Automatic Execution
13:01:45 - 28-Oct-25
Sell* 360 £69.71338 Ordinary
12:58:50 - 28-Oct-25
Buy* 129 £69.6239 Ordinary
11:53:16 - 28-Oct-25
Sell* 220 £69.57 Result of RFQ
11:42:45 - 28-Oct-25
Sell* 220 £69.5651 Negotiated Trade
11:42:28 - 28-Oct-25
Sell* 246 £69.5011 Negotiated Trade
11:19:23 - 28-Oct-25
Buy* 36 £69.5455 Suspected BUY Trade
11:08:01 - 28-Oct-25
Sell* 57 £69.503 Negotiated Trade
10:33:14 - 28-Oct-25
Sell* 21 £69.412 Negotiated Trade
12:43:05 - 27-Oct-25
Sell* 43 £69.4045 Negotiated Trade
11:49:25 - 27-Oct-25
Buy* 14 £69.5629 Suspected BUY Trade
10:59:03 - 27-Oct-25
Sell* 245 £69.50486 Ordinary
10:57:27 - 27-Oct-25
Buy* 86 £69.5614 Suspected BUY Trade
09:48:17 - 27-Oct-25
Buy* 58 £69.54 Automatic Execution
09:41:55 - 27-Oct-25
Buy* 59 £69.5565 Suspected BUY Trade
09:34:19 - 27-Oct-25
Sell* 71 £69.57412 Ordinary
08:49:07 - 27-Oct-25
Sell* 29 £69.66 Automatic Execution
08:02:51 - 27-Oct-25
Sell* 29 £69.67 Automatic Execution
08:02:28 - 27-Oct-25
Sell* 63 £69.5578 Negotiated Trade
16:08:32 - 24-Oct-25
Buy* 39 £69.62 Automatic Execution
15:54:41 - 24-Oct-25
Buy* 39 £69.545 Suspected BUY Trade
15:40:24 - 24-Oct-25
Sell* 268 £69.4762 Ordinary
15:38:13 - 24-Oct-25
Buy* 187 £69.515 Suspected BUY Trade
13:32:46 - 24-Oct-25
Sell* 76 £69.2692 Negotiated Trade
12:06:24 - 24-Oct-25
Sell* 90 £69.2216 Negotiated Trade
11:38:46 - 24-Oct-25
Sell* 200 £69.2227 Negotiated Trade
11:34:37 - 24-Oct-25
Sell* 139 £69.2339 Negotiated Trade
10:45:08 - 24-Oct-25
Sell* 99 £69.215 Negotiated Trade
10:43:18 - 24-Oct-25
Sell* 303 £69.13 Result of RFQ
08:34:14 - 24-Oct-25
Buy* 303 £69.21 Automatic Execution
08:13:43 - 24-Oct-25
Unknown* -303 £69.2032 Correction
Negotiated Trade
08:10:57 - 24-Oct-25
Buy* 303 £69.2032 Suspected BUY Trade
08:10:57 - 24-Oct-25
Sell* 60 £68.82 Uncrossing Trade
16:35:29 - 23-Oct-25
Sell* 58 £68.8672 Negotiated Trade
14:36:16 - 23-Oct-25
Buy* 370 £68.8197 Suspected BUY Trade
14:32:21 - 23-Oct-25
Buy* 17 £68.71 Automatic Execution
12:40:36 - 23-Oct-25
Sell* 31 £68.71 Automatic Execution
12:40:36 - 23-Oct-25
Sell* 61 £68.7145 Negotiated Trade
11:53:01 - 23-Oct-25
Sell* 24 £68.5932 Negotiated Trade
10:50:57 - 23-Oct-25
Buy* 188 £68.73081 Ordinary
09:49:16 - 23-Oct-25
Sell* 195 £68.7203 Negotiated Trade
09:35:07 - 23-Oct-25
Sell* 37 £68.693 Negotiated Trade
09:04:15 - 23-Oct-25
Sell* 243 £68.72 Result of RFQ
08:45:17 - 23-Oct-25
Sell* 243 £68.6968 Negotiated Trade
08:44:10 - 23-Oct-25
Sell* 42 £68.6935 Negotiated Trade
08:16:15 - 23-Oct-25
Sell* 151 £68.86507 Ordinary
16:01:37 - 22-Oct-25
Unknown* 151 £68.86507 Negotiated Trade
16:01:37 - 22-Oct-25
Sell* 21 £69.1271 Negotiated Trade
12:04:57 - 22-Oct-25
Sell* 2,337 £69.2051 Negotiated Trade
11:31:20 - 22-Oct-25
Sell* 30 £69.1771 Negotiated Trade
10:41:47 - 22-Oct-25
Sell* 119 £69.12029 Ordinary
10:22:37 - 22-Oct-25
Sell* 48 £69.094 Negotiated Trade
09:56:27 - 22-Oct-25
Sell* 4,360 £69.11 Negotiated Trade
09:34:22 - 22-Oct-25
Buy* 404 £69.15971 Ordinary
08:50:35 - 22-Oct-25
FTSE 100 Latest
Value9,911.42
Change11.82