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X S&p500 Ew Esg (XZES) Share Trades

Buy/Sell Volume Trade Prc Trade Type Trade Time
Buy* 20 £39.96475 Suspected BUY Trade
15:11:37 - 12-Dec-25
Sell* 9 £40.05025 Negotiated Trade
14:13:02 - 12-Dec-25
Sell* 2 £40.021 Negotiated Trade
12:07:55 - 12-Dec-25
Sell* 3 £40.06125 Negotiated Trade
11:21:24 - 12-Dec-25
Sell* 32 £40.01125 Negotiated Trade
09:50:55 - 12-Dec-25
Buy* 12 £40.0435 Suspected BUY Trade
08:33:49 - 12-Dec-25
Sell* 11 £40.00125 Negotiated Trade
08:17:05 - 12-Dec-25
Sell* 22 £39.98535 Negotiated Trade
08:03:18 - 12-Dec-25
Sell* 11 £39.44675 Negotiated Trade
11:19:11 - 11-Dec-25
Buy* 35 £39.48 Suspected BUY Trade
11:08:54 - 11-Dec-25
Sell* 20 £39.4667 Negotiated Trade
10:49:05 - 11-Dec-25
Buy* 18 £39.432 Suspected BUY Trade
08:32:52 - 11-Dec-25
Buy* 566 £39.445 Automatic Execution
08:00:38 - 11-Dec-25
Buy* 877 £39.45 Automatic Execution
08:00:30 - 11-Dec-25
Buy* 877 £39.45 Automatic Execution
08:00:30 - 11-Dec-25
Buy* 877 £39.45 Automatic Execution
08:00:30 - 11-Dec-25
Buy* 949 £39.455 Suspected BUY Trade
08:00:27 - 11-Dec-25
Sell* 4 £39.25575 Negotiated Trade
15:22:23 - 10-Dec-25
Buy* 10 £39.195 Automatic Execution
13:42:36 - 10-Dec-25
Buy* 5 £39.21 Automatic Execution
13:27:56 - 10-Dec-25
Buy* 76 £39.1777 Suspected BUY Trade
11:33:07 - 10-Dec-25
Sell* 6 £39.1154 Negotiated Trade
10:44:54 - 10-Dec-25
Buy* 35 £39.1702 Suspected BUY Trade
09:24:42 - 10-Dec-25
Buy* 46 £39.1385 Suspected BUY Trade
08:35:48 - 10-Dec-25
Sell* 6 £39.18535 Negotiated Trade
14:18:12 - 09-Dec-25
Sell* 3 £39.21625 Negotiated Trade
11:08:16 - 09-Dec-25
Sell* 17 £39.1892 Negotiated Trade
10:53:43 - 09-Dec-25
Sell* 76 £39.12525 Negotiated Trade
09:01:59 - 09-Dec-25
Buy* 444 £39.1685 Suspected BUY Trade
08:48:58 - 09-Dec-25
Sell* 45 £39.14425 Negotiated Trade
08:16:51 - 09-Dec-25
Sell* 145 £39.2855 Negotiated Trade
16:19:05 - 08-Dec-25
Buy* 1 £39.3498 Suspected BUY Trade
15:14:54 - 08-Dec-25
Sell* 2,210 £39.45 Automatic Execution
13:39:45 - 08-Dec-25
Sell* 6 £39.4265 Negotiated Trade
11:49:10 - 08-Dec-25
Buy* 132 £39.42825 Suspected BUY Trade
08:50:44 - 08-Dec-25
Buy* 13 £39.515 Automatic Execution
16:07:28 - 05-Dec-25
Buy* 2 £39.49475 Suspected BUY Trade
15:06:34 - 05-Dec-25
Sell* 143 £39.2174 Negotiated Trade
13:01:20 - 05-Dec-25
Sell* 67 £39.2178 Negotiated Trade
13:01:18 - 05-Dec-25
Buy* 661 £39.26 Automatic Execution
12:22:49 - 05-Dec-25
Buy* 661 £39.26 Automatic Execution
12:22:49 - 05-Dec-25
Sell* 957 £39.24 Automatic Execution
12:10:28 - 05-Dec-25
Sell* 503 £39.245 Automatic Execution
12:10:23 - 05-Dec-25
Sell* 1,378 £39.25 Automatic Execution
12:10:23 - 05-Dec-25
Sell* 873 £39.245 Automatic Execution
12:04:28 - 05-Dec-25
Sell* 646 £39.245 Automatic Execution
12:04:18 - 05-Dec-25
Unknown* 78 £39.1962 Negotiated Trade
10:01:35 - 05-Dec-25
Unknown* 258 £39.1961 Negotiated Trade
10:01:35 - 05-Dec-25
Unknown* 413 £39.1901 Negotiated Trade
10:01:11 - 05-Dec-25
Buy* 3 £39.23325 Suspected BUY Trade
08:49:03 - 05-Dec-25
Sell* 1 £39.1953 Negotiated Trade
08:16:18 - 05-Dec-25
Sell* 760 £39.225 Automatic Execution
08:00:17 - 05-Dec-25
Sell* 197 £39.225 Uncrossing Trade
08:00:17 - 05-Dec-25
Buy* 76 £39.1198 Suspected BUY Trade
15:09:32 - 04-Dec-25
Sell* 504 £39.125 Automatic Execution
14:42:20 - 04-Dec-25
Sell* 2,674 £39.13 Automatic Execution
14:42:20 - 04-Dec-25
Sell* 956 £39.13 Automatic Execution
14:42:20 - 04-Dec-25
Buy* 101 £39.195 Automatic Execution
14:35:17 - 04-Dec-25
Buy* 262 £39.195 Automatic Execution
14:35:17 - 04-Dec-25
Buy* 2,862 £39.195 Automatic Execution
14:35:16 - 04-Dec-25
Buy* 4,011 £39.195 Automatic Execution
14:35:16 - 04-Dec-25
Buy* 4,011 £39.195 Automatic Execution
14:35:16 - 04-Dec-25
Buy* 564 £39.195 Automatic Execution
14:35:16 - 04-Dec-25
Sell* 54 £39.2481 Negotiated Trade
13:00:39 - 04-Dec-25
Buy* 44 £39.25875 Suspected BUY Trade
09:19:58 - 04-Dec-25
Buy* 1 £39.23375 Suspected BUY Trade
08:52:48 - 04-Dec-25
Sell* 45 £39.2757 Negotiated Trade
08:03:19 - 04-Dec-25
Buy* 1 £39.29 Suspected BUY Trade
08:00:23 - 04-Dec-25
Buy* 26 £39.185 Automatic Execution
16:29:46 - 03-Dec-25
Sell* 663 £39.16 Automatic Execution
16:20:13 - 03-Dec-25
Sell* 10 £39.17 Automatic Execution
16:20:13 - 03-Dec-25
Buy* 14 £39.19 Automatic Execution
16:18:56 - 03-Dec-25
Sell* 10 £39.145 Automatic Execution
16:12:06 - 03-Dec-25
Buy* 5 £39.19 Automatic Execution
16:05:56 - 03-Dec-25
Sell* 49 £39.239 Negotiated Trade
15:13:04 - 03-Dec-25
Buy* 15 £39.2571 Suspected BUY Trade
15:13:04 - 03-Dec-25
Sell* 2,681 £39.24 Automatic Execution
14:52:27 - 03-Dec-25
Sell* 962 £39.245 Automatic Execution
14:52:27 - 03-Dec-25
Sell* 962 £39.265 Automatic Execution
14:48:14 - 03-Dec-25
Sell* 962 £39.295 Automatic Execution
14:45:54 - 03-Dec-25
Sell* 962 £39.315 Automatic Execution
14:42:31 - 03-Dec-25
Sell* 181 £39.1479 Negotiated Trade
14:11:40 - 03-Dec-25
Sell* 651 £39.155 Negotiated Trade
14:04:08 - 03-Dec-25
Sell* 22 £39.16 Negotiated Trade
14:03:33 - 03-Dec-25
Sell* 1,784 £39.20675 Negotiated Trade
12:48:57 - 03-Dec-25
Sell* 34 £39.2546 Negotiated Trade
10:01:35 - 03-Dec-25
Sell* 32 £39.2546 Negotiated Trade
10:01:31 - 03-Dec-25
Buy* 170 £39.2661 SI Trade
10:01:24 - 03-Dec-25
Sell* 110 £39.2541 Negotiated Trade
10:01:12 - 03-Dec-25
Sell* 4 £39.26125 Negotiated Trade
09:50:49 - 03-Dec-25
Sell* 53 £39.316 Negotiated Trade
08:58:42 - 03-Dec-25
Sell* 3,103 £39.35868 SI Trade
08:23:14 - 03-Dec-25
Sell* 84 £39.3415 SI Trade
08:03:23 - 03-Dec-25
Sell* 962 £39.365 Uncrossing Trade
08:00:21 - 03-Dec-25
Sell* 812 £39.385 Automatic Execution
16:13:46 - 02-Dec-25
Buy* 1 £39.425 Automatic Execution
16:13:11 - 02-Dec-25
Sell* 8 £39.3003 Negotiated Trade
15:31:18 - 02-Dec-25
Sell* 18 £39.3681 Negotiated Trade
15:16:13 - 02-Dec-25
Sell* 9 £39.3103 Negotiated Trade
15:01:04 - 02-Dec-25
Sell* 101 £39.525 Negotiated Trade
14:05:29 - 02-Dec-25
Sell* 410 £39.54 Negotiated Trade
14:04:56 - 02-Dec-25
Sell* 55 £39.54 Negotiated Trade
14:04:30 - 02-Dec-25
Buy* 317 £39.45875 Suspected BUY Trade
08:49:12 - 02-Dec-25
Sell* 1 £39.42525 Negotiated Trade
08:18:56 - 02-Dec-25
Sell* 22 £39.4145 Negotiated Trade
08:03:37 - 02-Dec-25
Sell* 4 £39.295 Negotiated Trade
14:04:14 - 01-Dec-25
Buy* 116 £39.455 Automatic Execution
10:24:30 - 01-Dec-25
Buy* 19 £39.615 Suspected BUY Trade
16:35:29 - 28-Nov-25
Sell* 40 £39.615 Automatic Execution
16:29:03 - 28-Nov-25
Sell* 1,922 £39.56 Automatic Execution
16:02:23 - 28-Nov-25
Sell* 1 £39.5107 Negotiated Trade
15:09:40 - 28-Nov-25
Sell* 7 £39.4775 Negotiated Trade
11:16:23 - 28-Nov-25
Sell* 64 £39.47 Automatic Execution
10:19:42 - 28-Nov-25
Buy* 24 £39.595 SI Trade
09:29:53 - 28-Nov-25
Buy* 40 £39.535 Result of RFQ
09:29:34 - 28-Nov-25
Buy* 32 £39.558 Suspected BUY Trade
08:48:21 - 28-Nov-25
Sell* 6 £39.39175 Negotiated Trade
08:03:30 - 28-Nov-25
Buy* 33 £39.295 Automatic Execution
15:57:43 - 27-Nov-25
Sell* 203 £39.3412 SI Trade
15:15:48 - 27-Nov-25
Buy* 11 £39.45325 Suspected BUY Trade
09:47:03 - 27-Nov-25
Buy* 1 £39.3997 Suspected BUY Trade
15:55:18 - 26-Nov-25
Buy* 16 £39.39 Automatic Execution
15:49:50 - 26-Nov-25
Sell* 1 £39.36965 Negotiated Trade
15:17:59 - 26-Nov-25
Sell* 2 £39.3402 Negotiated Trade
15:15:31 - 26-Nov-25
Sell* 372 £39.36125 Negotiated Trade
15:14:04 - 26-Nov-25
Sell* 1 £39.36025 Negotiated Trade
15:13:28 - 26-Nov-25
Sell* 968 £39.405 Automatic Execution
14:56:36 - 26-Nov-25
Sell* 968 £39.325 Automatic Execution
14:31:14 - 26-Nov-25
Sell* 11 £39.3979 Negotiated Trade
10:45:16 - 26-Nov-25
Buy* 87 £39.3985 Suspected BUY Trade
09:19:22 - 26-Nov-25
Buy* 968 £39.415 Automatic Execution
08:11:39 - 26-Nov-25
Buy* 41 £39.219 Suspected BUY Trade
16:26:47 - 25-Nov-25
Sell* 24 £39.0976 Negotiated Trade
15:32:30 - 25-Nov-25
Sell* 1 £39.00025 Negotiated Trade
15:16:58 - 25-Nov-25
Buy* 8 £38.89 Suspected BUY Trade
14:01:32 - 25-Nov-25
Sell* 18 £38.87625 Negotiated Trade
13:46:33 - 25-Nov-25
Buy* 1,828 £38.915 Automatic Execution
13:45:01 - 25-Nov-25
Buy* 979 £38.91 Automatic Execution
13:45:01 - 25-Nov-25
Buy* 979 £38.895 Automatic Execution
13:08:08 - 25-Nov-25
Buy* 979 £38.89 Automatic Execution
12:56:13 - 25-Nov-25
Buy* 979 £38.91 Automatic Execution
12:55:22 - 25-Nov-25
Buy* 979 £38.915 Automatic Execution
12:55:08 - 25-Nov-25
Buy* 979 £38.92 Automatic Execution
12:51:53 - 25-Nov-25
Buy* 979 £38.93 Automatic Execution
12:50:00 - 25-Nov-25
Buy* 979 £38.945 Automatic Execution
12:44:23 - 25-Nov-25
Buy* 979 £38.925 Automatic Execution
12:42:00 - 25-Nov-25
Buy* 21 £38.918 Suspected BUY Trade
10:46:46 - 25-Nov-25
Sell* 11 £38.8315 Negotiated Trade
10:22:53 - 25-Nov-25
Sell* 5 £38.817 Negotiated Trade
10:05:46 - 25-Nov-25
Sell* 1 £38.827 Negotiated Trade
10:03:00 - 25-Nov-25
Buy* 50 £38.908 Suspected BUY Trade
09:23:06 - 25-Nov-25
Buy* 4 £38.9197 Suspected BUY Trade
09:00:37 - 25-Nov-25
Buy* 40 £38.96485 Suspected BUY Trade
15:14:59 - 24-Nov-25
Sell* 8 £38.91575 Negotiated Trade
15:07:58 - 24-Nov-25
Buy* 94 £39.02325 Suspected BUY Trade
14:20:29 - 24-Nov-25
Sell* 72 £38.9465 Negotiated Trade
13:05:10 - 24-Nov-25
Sell* 2 £38.9115 Negotiated Trade
11:49:37 - 24-Nov-25
Buy* 987 £38.99 Automatic Execution
08:00:26 - 24-Nov-25
Sell* 10 £38.4702 Negotiated Trade
15:28:30 - 21-Nov-25
Buy* 3,868 £38.315 Automatic Execution
14:32:11 - 21-Nov-25
Sell* 10 £38.305 Automatic Execution
14:02:07 - 21-Nov-25
Sell* 11 £38.292 Negotiated Trade
13:36:41 - 21-Nov-25
Sell* 1,875 £38.195 Automatic Execution
10:12:49 - 21-Nov-25
Sell* 1,835 £38.195 Automatic Execution
10:12:49 - 21-Nov-25
Sell* 52 £38.24175 Negotiated Trade
09:37:49 - 21-Nov-25
Buy* 425 £38.26825 Suspected BUY Trade
09:36:17 - 21-Nov-25
Sell* 17 £38.1781 Negotiated Trade
08:03:23 - 21-Nov-25
Sell* 1 £38.77045 Negotiated Trade
15:10:45 - 20-Nov-25
Sell* 3 £38.67115 Negotiated Trade
08:03:21 - 20-Nov-25
Sell* 31 £38.541 Negotiated Trade
16:21:30 - 19-Nov-25
Buy* 2 £38.535 Automatic Execution
16:10:25 - 19-Nov-25
Buy* 1 £38.6648 Suspected BUY Trade
15:17:00 - 19-Nov-25
Buy* 4,087 £38.575 Automatic Execution
14:34:05 - 19-Nov-25
Sell* 272 £38.622 Negotiated Trade
13:04:45 - 19-Nov-25
Sell* 7 £38.67175 Negotiated Trade
11:19:20 - 19-Nov-25
Sell* 27 £38.6651 Negotiated Trade
10:46:34 - 19-Nov-25
Buy* 38 £38.58375 Suspected BUY Trade
08:35:09 - 19-Nov-25
Buy* 444 £38.29 Automatic Execution
15:58:04 - 18-Nov-25
Sell* 10 £38.2225 Negotiated Trade
15:51:41 - 18-Nov-25
Sell* 18 £38.26375 Negotiated Trade
14:36:25 - 18-Nov-25
Buy* 7 £38.3175 Suspected BUY Trade
14:20:49 - 18-Nov-25
Sell* 25 £38.2705 Negotiated Trade
14:14:27 - 18-Nov-25
Sell* 10 £38.295 Negotiated Trade
14:03:45 - 18-Nov-25
Unknown* 60 £38.37995 SI Trade
Currency Conversion
13:56:57 - 18-Nov-25
Sell* 486 £38.32 Automatic Execution
12:38:16 - 18-Nov-25
Sell* 1,476 £38.295 Automatic Execution
12:24:45 - 18-Nov-25
Buy* 746 £38.36825 Suspected BUY Trade
10:48:57 - 18-Nov-25
Sell* 12 £38.3337 Negotiated Trade
10:46:03 - 18-Nov-25
Sell* 12 £38.32125 Negotiated Trade
10:33:54 - 18-Nov-25
Buy* 1,254 £38.33 Automatic Execution
09:34:01 - 18-Nov-25
Sell* 13 £38.3115 Negotiated Trade
09:03:31 - 18-Nov-25
Buy* 41 £38.338 Suspected BUY Trade
09:02:13 - 18-Nov-25
Buy* 3 £38.30225 Suspected BUY Trade
08:34:38 - 18-Nov-25
Sell* 980 £38.245 Automatic Execution
08:31:31 - 18-Nov-25
Sell* 980 £38.22 Automatic Execution
08:25:11 - 18-Nov-25
Sell* 980 £38.22 Automatic Execution
08:17:22 - 18-Nov-25
Sell* 29 £38.851 Negotiated Trade
15:20:33 - 17-Nov-25
Sell* 7 £38.8265 Negotiated Trade
14:36:29 - 17-Nov-25
Sell* 7 £38.81675 Negotiated Trade
14:05:40 - 17-Nov-25
Sell* 972 £38.80 Automatic Execution
13:51:50 - 17-Nov-25
FTSE 100 Latest
Value9,649.03
Change-54.13