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X S&p500 Ew Esg (XZES) Share Trades

Buy/Sell Volume Trade Prc Trade Type Trade Time
Buy* 128 £40.325 Automatic Execution
16:11:55 - 02-Apr-26
Buy* 567 £40.32 Automatic Execution
16:11:55 - 02-Apr-26
Sell* 7 £40.26 Automatic Execution
16:11:33 - 02-Apr-26
Sell* 32 £40.0014 Negotiated Trade
15:12:13 - 02-Apr-26
Buy* 12 £40.0335 Suspected BUY Trade
15:12:13 - 02-Apr-26
Buy* 8 £39.98175 Suspected BUY Trade
13:54:05 - 02-Apr-26
Sell* 498 £40.07746 Ordinary
12:06:57 - 02-Apr-26
Buy* 249 £40.12409 Ordinary
11:58:37 - 02-Apr-26
Sell* 75 £40.08238 Ordinary
10:28:03 - 02-Apr-26
Buy* 64 £40.1044 Ordinary
09:49:51 - 02-Apr-26
Buy* 5 £40.127 Suspected BUY Trade
09:33:51 - 02-Apr-26
Sell* 11 £39.98925 Negotiated Trade
08:39:10 - 02-Apr-26
Buy* 30 £40.0605 Suspected BUY Trade
08:37:35 - 02-Apr-26
Sell* 3 £39.923 Negotiated Trade
08:17:20 - 02-Apr-26
Buy* 20 £40.195 Automatic Execution
16:10:23 - 01-Apr-26
Buy* 275 £40.1268 Suspected BUY Trade
15:38:13 - 01-Apr-26
Buy* 1 £40.14935 Suspected BUY Trade
15:09:32 - 01-Apr-26
Sell* 6 £40.15575 Negotiated Trade
10:51:19 - 01-Apr-26
Sell* 8 £40.22175 Negotiated Trade
08:38:26 - 01-Apr-26
Buy* 25 £39.935 Automatic Execution
16:19:48 - 31-Mar-26
Buy* 100 £39.845 Suspected BUY Trade
14:17:36 - 31-Mar-26
Buy* 1 £39.84435 Suspected BUY Trade
14:12:52 - 31-Mar-26
Buy* 21 £39.915 Automatic Execution
11:59:23 - 31-Mar-26
Buy* 10 £39.86 Automatic Execution
11:54:03 - 31-Mar-26
Sell* 1 £39.78065 Negotiated Trade
11:49:47 - 31-Mar-26
Sell* 8 £39.81 Automatic Execution
11:38:51 - 31-Mar-26
Sell* 10 £39.82 Automatic Execution
11:38:30 - 31-Mar-26
Buy* 14 £39.88 Automatic Execution
11:30:53 - 31-Mar-26
Buy* 5 £39.90 Automatic Execution
11:17:03 - 31-Mar-26
Buy* 229 £39.86868 Ordinary
10:46:23 - 31-Mar-26
Buy* 62 £39.913 Suspected BUY Trade
10:16:27 - 31-Mar-26
Buy* 35 £39.97975 Suspected BUY Trade
08:48:43 - 31-Mar-26
Buy* 12 £39.8693 Suspected BUY Trade
08:06:47 - 31-Mar-26
Sell* 3 £39.86775 Negotiated Trade
16:06:54 - 30-Mar-26
Buy* 29 £39.90 Automatic Execution
16:01:32 - 30-Mar-26
Buy* 15 £39.7795 Suspected BUY Trade
15:54:47 - 30-Mar-26
Sell* 9 £39.74775 Negotiated Trade
15:21:32 - 30-Mar-26
Buy* 3 £39.76945 Suspected BUY Trade
15:18:56 - 30-Mar-26
Sell* 14 £39.68275 Negotiated Trade
14:51:36 - 30-Mar-26
Sell* 9 £39.79875 Negotiated Trade
14:36:14 - 30-Mar-26
Buy* 2 £39.8242 Suspected BUY Trade
14:14:59 - 30-Mar-26
Buy* 3 £39.72 Automatic Execution
12:08:24 - 30-Mar-26
Sell* 13 £39.6345 Negotiated Trade
09:34:05 - 30-Mar-26
Sell* 42 £39.58975 Negotiated Trade
09:17:26 - 30-Mar-26
Sell* 4 £39.54105 Negotiated Trade
09:03:21 - 30-Mar-26
Buy* 7 £39.599 Suspected BUY Trade
08:36:27 - 30-Mar-26
Sell* 130 £39.595 Uncrossing Trade
16:35:05 - 27-Mar-26
Sell* 85 £39.59675 Negotiated Trade
16:05:59 - 27-Mar-26
Buy* 115 £39.655 Automatic Execution
15:49:37 - 27-Mar-26
Sell* 57 £39.615 Automatic Execution
15:49:23 - 27-Mar-26
Buy* 19 £39.615 Automatic Execution
14:59:56 - 27-Mar-26
Buy* 21 £39.575 Automatic Execution
14:54:53 - 27-Mar-26
Sell* 9 £39.47 Automatic Execution
14:46:31 - 27-Mar-26
Buy* 11 £39.505 Automatic Execution
14:43:16 - 27-Mar-26
Buy* 4 £39.505 Automatic Execution
14:34:26 - 27-Mar-26
Sell* 98 £39.39623 Ordinary
14:12:45 - 27-Mar-26
Sell* 65 £39.6225 Negotiated Trade
11:01:02 - 27-Mar-26
Sell* 59 £39.65452 Ordinary
10:46:35 - 27-Mar-26
Buy* 213 £39.7296 Suspected BUY Trade
10:01:06 - 27-Mar-26
Buy* 2,015 £39.76461 Ordinary
08:40:18 - 27-Mar-26
Buy* 8 £39.7825 Suspected BUY Trade
08:39:13 - 27-Mar-26
Sell* 34 £39.92 Automatic Execution
15:41:21 - 26-Mar-26
Sell* 378 £39.92 Automatic Execution
15:41:21 - 26-Mar-26
Buy* 142 £40.07675 Suspected BUY Trade
14:21:48 - 26-Mar-26
Sell* 3,419 £40.10 Automatic Execution
13:52:29 - 26-Mar-26
Sell* 13 £39.668 Negotiated Trade
11:45:06 - 26-Mar-26
Sell* 185 £39.6525 Negotiated Trade
10:42:12 - 26-Mar-26
Buy* 35 £39.697 Suspected BUY Trade
10:05:54 - 26-Mar-26
Sell* 837 £39.705 Automatic Execution
08:46:38 - 26-Mar-26
Sell* 83 £39.705 Automatic Execution
08:46:38 - 26-Mar-26
Sell* 837 £39.705 Automatic Execution
08:46:36 - 26-Mar-26
Buy* 1 £39.8444 Suspected BUY Trade
15:55:22 - 25-Mar-26
Buy* 18 £39.81455 Suspected BUY Trade
15:41:23 - 25-Mar-26
Sell* 50 £39.61357 Ordinary
15:22:02 - 25-Mar-26
Sell* 2 £39.5685 Negotiated Trade
15:18:10 - 25-Mar-26
Sell* 2 £39.67555 Negotiated Trade
15:16:20 - 25-Mar-26
Buy* 363 £39.85275 Suspected BUY Trade
14:17:30 - 25-Mar-26
Buy* 7 £39.96425 Suspected BUY Trade
08:48:43 - 25-Mar-26
Buy* 15 £39.97125 Suspected BUY Trade
08:48:13 - 25-Mar-26
Sell* 4 £39.81225 Negotiated Trade
16:22:28 - 24-Mar-26
Buy* 249 £39.84067 Ordinary
15:48:47 - 24-Mar-26
Sell* 49 £39.72035 Negotiated Trade
15:17:19 - 24-Mar-26
Buy* 303 £39.74 Automatic Execution
15:02:10 - 24-Mar-26
Buy* 6,244 £39.745 Automatic Execution
15:00:07 - 24-Mar-26
Sell* 230 £39.64 Automatic Execution
14:59:22 - 24-Mar-26
Buy* 3 £39.53455 Suspected BUY Trade
14:15:21 - 24-Mar-26
Sell* 1 £39.4306 Negotiated Trade
12:23:17 - 24-Mar-26
Buy* 36 £39.48675 Suspected BUY Trade
11:22:26 - 24-Mar-26
Sell* 440 £39.48783 Ordinary
10:47:59 - 24-Mar-26
Buy* 5 £39.51965 Suspected BUY Trade
10:47:48 - 24-Mar-26
Sell* 9 £39.48535 Negotiated Trade
10:47:36 - 24-Mar-26
Buy* 10 £39.51225 Suspected BUY Trade
10:28:57 - 24-Mar-26
Sell* 1 £39.46055 Negotiated Trade
10:25:28 - 24-Mar-26
Buy* 108 £39.49775 Suspected BUY Trade
09:00:20 - 24-Mar-26
Buy* 50 £39.4967 Suspected BUY Trade
08:46:31 - 24-Mar-26
Sell* 673 £39.523 Negotiated Trade
08:16:18 - 24-Mar-26
Sell* 7 £39.5054 Negotiated Trade
08:03:32 - 24-Mar-26
Sell* 351 £39.56 Automatic Execution
16:22:54 - 23-Mar-26
Sell* 378 £39.565 Automatic Execution
16:22:54 - 23-Mar-26
Buy* 3,395 £39.80 Automatic Execution
15:28:05 - 23-Mar-26
Sell* 549 £39.595 Automatic Execution
14:38:27 - 23-Mar-26
Buy* 10 £39.62965 Suspected BUY Trade
14:38:07 - 23-Mar-26
Buy* 22 £39.7414 Suspected BUY Trade
14:21:33 - 23-Mar-26
Sell* 7 £39.7157 Negotiated Trade
14:14:30 - 23-Mar-26
Buy* 8 £39.75775 Suspected BUY Trade
14:07:57 - 23-Mar-26
Buy* 3,872 £39.745 Automatic Execution
14:04:18 - 23-Mar-26
Sell* 10 £39.81075 Negotiated Trade
12:06:44 - 23-Mar-26
Sell* 142 £39.09165 Negotiated Trade
11:06:00 - 23-Mar-26
Buy* 132 £39.33 Automatic Execution
11:05:17 - 23-Mar-26
Sell* 132 £39.185 Automatic Execution
10:49:22 - 23-Mar-26
Sell* 4 £39.19055 Negotiated Trade
10:43:34 - 23-Mar-26
Buy* 59,079 £39.34765 Ordinary
10:04:24 - 23-Mar-26
Sell* 4 £39.243 Negotiated Trade
09:50:34 - 23-Mar-26
Sell* 7 £39.188 Negotiated Trade
08:44:11 - 23-Mar-26
Buy* 10 £39.226 Suspected BUY Trade
08:38:40 - 23-Mar-26
Sell* 520 £39.61 Automatic Execution
15:35:24 - 20-Mar-26
Sell* 2,760 £39.61 Automatic Execution
15:35:24 - 20-Mar-26
Sell* 702 £39.59 Automatic Execution
15:27:11 - 20-Mar-26
Sell* 230 £39.64 Automatic Execution
15:23:40 - 20-Mar-26
Sell* 1,840 £39.62 Automatic Execution
15:20:30 - 20-Mar-26
Sell* 1,840 £39.63 Automatic Execution
15:18:05 - 20-Mar-26
Sell* 1,840 £39.635 Automatic Execution
15:09:18 - 20-Mar-26
Sell* 857 £39.65 Automatic Execution
15:04:01 - 20-Mar-26
Sell* 1,840 £39.65 Automatic Execution
15:04:01 - 20-Mar-26
Sell* 1,260 £39.6702 Negotiated Trade
14:32:32 - 20-Mar-26
Buy* 33 £39.6225 Suspected BUY Trade
11:34:16 - 20-Mar-26
Buy* 109 £39.5914 Suspected BUY Trade
10:56:23 - 20-Mar-26
Sell* 22 £39.6265 Negotiated Trade
09:32:10 - 20-Mar-26
Sell* 4 £39.64325 Negotiated Trade
09:04:13 - 20-Mar-26
Buy* 8 £39.70225 Suspected BUY Trade
08:36:21 - 20-Mar-26
Buy* 65 £39.65131 Ordinary
16:12:16 - 19-Mar-26
Buy* 7 £39.72225 Suspected BUY Trade
16:08:13 - 19-Mar-26
Buy* 900 £39.71375 Ordinary
15:44:51 - 19-Mar-26
Sell* 21 £39.643 Negotiated Trade
15:37:41 - 19-Mar-26
Buy* 100 £39.707 Suspected BUY Trade
15:07:19 - 19-Mar-26
Sell* 562 £39.635 Automatic Execution
15:02:04 - 19-Mar-26
Sell* 741 £39.635 Automatic Execution
14:55:53 - 19-Mar-26
Buy* 27 £39.7534 Suspected BUY Trade
14:16:19 - 19-Mar-26
Sell* 70 £39.854 Negotiated Trade
11:58:46 - 19-Mar-26
Sell* 113 £39.93345 Ordinary
10:45:34 - 19-Mar-26
Sell* 61 £39.8722 Negotiated Trade
09:29:03 - 19-Mar-26
Buy* 128 £39.975 Automatic Execution
08:53:34 - 19-Mar-26
Buy* 1 £40.21955 Suspected BUY Trade
15:10:59 - 18-Mar-26
Sell* 3 £40.3755 Negotiated Trade
12:04:45 - 18-Mar-26
Sell* 128 £40.49 Automatic Execution
11:04:16 - 18-Mar-26
Sell* 4 £40.51575 Negotiated Trade
10:43:09 - 18-Mar-26
Buy* 6 £40.59725 Suspected BUY Trade
08:39:07 - 18-Mar-26
Sell* 5 £40.5485 Negotiated Trade
08:36:52 - 18-Mar-26
Sell* 1 £40.4507 Negotiated Trade
15:55:22 - 17-Mar-26
Buy* 157 £40.55965 Suspected BUY Trade
15:13:38 - 17-Mar-26
Buy* 4 £40.56965 Suspected BUY Trade
15:13:11 - 17-Mar-26
Sell* 1 £40.54045 Negotiated Trade
14:53:14 - 17-Mar-26
Sell* 1 £40.56035 Negotiated Trade
14:12:10 - 17-Mar-26
Buy* 1 £40.5996 Suspected BUY Trade
14:12:07 - 17-Mar-26
Buy* 13 £40.2288 Suspected BUY Trade
11:57:07 - 17-Mar-26
Sell* 7 £40.12825 Negotiated Trade
11:21:55 - 17-Mar-26
Sell* 8 £40.15325 Negotiated Trade
11:07:22 - 17-Mar-26
Sell* 7 £40.11065 Negotiated Trade
10:44:39 - 17-Mar-26
Sell* 4 £40.0785 Negotiated Trade
09:20:43 - 17-Mar-26
Sell* 11 £40.008 Negotiated Trade
08:53:58 - 17-Mar-26
Sell* 198 £40.27225 Negotiated Trade
15:17:25 - 16-Mar-26
Buy* 4 £40.3146 Suspected BUY Trade
15:16:13 - 16-Mar-26
Sell* 2 £40.3354 Negotiated Trade
15:06:49 - 16-Mar-26
Sell* 4 £40.36 Automatic Execution
14:59:26 - 16-Mar-26
Buy* 20 £40.295 Automatic Execution
14:52:56 - 16-Mar-26
Sell* 4 £40.405 Automatic Execution
13:58:46 - 16-Mar-26
Sell* 29 £40.3529 Negotiated Trade
12:44:13 - 16-Mar-26
Sell* 3 £40.293 Negotiated Trade
11:47:02 - 16-Mar-26
Sell* 7 £40.283 Negotiated Trade
11:30:50 - 16-Mar-26
Sell* 3 £40.26225 Negotiated Trade
10:30:30 - 16-Mar-26
Sell* 3 £40.224 Negotiated Trade
10:14:15 - 16-Mar-26
Sell* 17 £40.19825 Negotiated Trade
10:00:37 - 16-Mar-26
Sell* 123 £40.217 Negotiated Trade
09:43:56 - 16-Mar-26
Sell* 11 £40.25825 Negotiated Trade
09:15:06 - 16-Mar-26
Sell* 13 £40.273 Negotiated Trade
09:01:06 - 16-Mar-26
Buy* 4 £40.3415 Suspected BUY Trade
08:44:20 - 16-Mar-26
Buy* 230 £40.295 Automatic Execution
15:47:22 - 13-Mar-26
Sell* 1 £40.15545 Negotiated Trade
15:04:23 - 13-Mar-26
Sell* 34 £40.21675 Negotiated Trade
14:19:28 - 13-Mar-26
Buy* 36 £40.3206 Suspected BUY Trade
14:13:03 - 13-Mar-26
Buy* 285 £40.44 Automatic Execution
13:58:57 - 13-Mar-26
Buy* 1,432 £40.43 Automatic Execution
13:58:57 - 13-Mar-26
Sell* 2 £40.2106 Negotiated Trade
10:44:05 - 13-Mar-26
Sell* 43 £40.15375 Negotiated Trade
09:50:22 - 13-Mar-26
Sell* 9 £40.0845 Negotiated Trade
09:34:40 - 13-Mar-26
Buy* 5 £40.1615 Suspected BUY Trade
09:19:04 - 13-Mar-26
Buy* 8 £40.04625 Suspected BUY Trade
08:35:04 - 13-Mar-26
Sell* 42 £40.158 Negotiated Trade
16:28:58 - 12-Mar-26
Buy* 230 £40.255 Automatic Execution
15:39:37 - 12-Mar-26
Buy* 1,840 £40.25 Automatic Execution
15:39:35 - 12-Mar-26
Buy* 230 £40.25 Automatic Execution
14:46:30 - 12-Mar-26
Buy* 230 £40.27 Automatic Execution
14:46:07 - 12-Mar-26
Sell* 6 £40.208 Negotiated Trade
14:45:39 - 12-Mar-26
Sell* 38 £40.1579 Negotiated Trade
11:00:58 - 12-Mar-26
Buy* 50 £40.232 Suspected BUY Trade
10:12:25 - 12-Mar-26
Buy* 372 £40.232 Suspected BUY Trade
09:43:03 - 12-Mar-26
Sell* 129 £40.145 Automatic Execution
09:21:15 - 12-Mar-26
Sell* 5 £40.2025 Negotiated Trade
09:02:25 - 12-Mar-26
Sell* 128 £40.19 Automatic Execution
08:39:49 - 12-Mar-26
Sell* 192 £40.18 Automatic Execution
08:16:39 - 12-Mar-26
FTSE 100 Latest
Value10,436.29
Change71.50