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X S&p500 Ew Esg (XZES) Share Trades

Buy/Sell Volume Trade Prc Trade Type Trade Time
Buy* 2,439 £40.98739 Ordinary
16:19:45 - 06-Feb-26
Sell* 104 £40.903 Negotiated Trade
15:14:56 - 06-Feb-26
Buy* 150 £40.9166 Suspected BUY Trade
15:10:51 - 06-Feb-26
Buy* 1,737 £40.895 Automatic Execution
14:33:00 - 06-Feb-26
Buy* 2,125 £40.895 Automatic Execution
14:33:00 - 06-Feb-26
Buy* 2,575 £40.895 Automatic Execution
14:33:00 - 06-Feb-26
Sell* 5,545 £40.7693 SI Trade
14:22:10 - 06-Feb-26
Sell* 9 £40.68275 Negotiated Trade
09:49:05 - 06-Feb-26
Sell* 3 £40.66275 Negotiated Trade
09:47:00 - 06-Feb-26
Sell* 32 £40.65425 Negotiated Trade
08:18:20 - 06-Feb-26
Sell* 4 £40.661 Negotiated Trade
15:53:15 - 05-Feb-26
Buy* 2,552 £40.69 Automatic Execution
15:52:07 - 05-Feb-26
Buy* 47,091 £40.7331 Ordinary
15:21:48 - 05-Feb-26
Buy* 1 £40.8046 Suspected BUY Trade
15:19:22 - 05-Feb-26
Buy* 3 £40.7648 Suspected BUY Trade
15:13:01 - 05-Feb-26
Sell* 68 £40.7367 SI Trade
14:15:08 - 05-Feb-26
Buy* 4 £40.81395 Suspected BUY Trade
14:14:48 - 05-Feb-26
Sell* 7,474 £40.7558 Negotiated Trade
10:45:34 - 05-Feb-26
Buy* 1 £40.7615 Suspected BUY Trade
09:03:25 - 05-Feb-26
Buy* 20 £40.71445 Suspected BUY Trade
08:03:27 - 05-Feb-26
Buy* 240 £40.57 Automatic Execution
15:38:49 - 04-Feb-26
Buy* 123 £40.60465 Suspected BUY Trade
15:22:38 - 04-Feb-26
Sell* 30 £40.1495 Negotiated Trade
14:14:01 - 04-Feb-26
Buy* 909 £40.09 Automatic Execution
13:56:57 - 04-Feb-26
Buy* 909 £40.15 Automatic Execution
13:44:16 - 04-Feb-26
Buy* 909 £40.15 Automatic Execution
13:43:16 - 04-Feb-26
Buy* 858 £40.155 Automatic Execution
13:43:16 - 04-Feb-26
Buy* 909 £40.16 Automatic Execution
13:42:14 - 04-Feb-26
Buy* 858 £40.16 Automatic Execution
13:42:14 - 04-Feb-26
Buy* 858 £40.15 Automatic Execution
13:35:21 - 04-Feb-26
Buy* 858 £40.13 Automatic Execution
13:34:07 - 04-Feb-26
Sell* 36 £40.0552 Negotiated Trade
12:52:51 - 04-Feb-26
Sell* 42 £40.117 Negotiated Trade
11:52:16 - 04-Feb-26
Sell* 1 £40.10055 Negotiated Trade
11:21:59 - 04-Feb-26
Sell* 15 £40.1171 Negotiated Trade
10:48:05 - 04-Feb-26
Buy* 24 £40.13725 Suspected BUY Trade
10:15:26 - 04-Feb-26
Buy* 148 £40.07725 Suspected BUY Trade
08:50:25 - 04-Feb-26
Buy* 9 £40.175 Suspected BUY Trade
16:35:04 - 03-Feb-26
Buy* 1,075 £40.28 Automatic Execution
15:43:21 - 03-Feb-26
Sell* 2 £40.23535 Negotiated Trade
15:15:14 - 03-Feb-26
Buy* 14 £40.266 Suspected BUY Trade
15:15:14 - 03-Feb-26
Sell* 1,820 £40.32 Automatic Execution
14:54:33 - 03-Feb-26
Buy* 2 £40.2294 Suspected BUY Trade
14:16:10 - 03-Feb-26
Buy* 1 £40.22945 Suspected BUY Trade
14:15:43 - 03-Feb-26
Buy* 6 £40.2375 Suspected BUY Trade
08:44:44 - 03-Feb-26
Buy* 1 £40.205 Suspected BUY Trade
16:35:28 - 02-Feb-26
Sell* 13 £40.256 Negotiated Trade
16:16:55 - 02-Feb-26
Sell* 23 £40.201 Negotiated Trade
15:37:47 - 02-Feb-26
Sell* 5 £40.13025 Negotiated Trade
15:15:23 - 02-Feb-26
Buy* 1 £40.10475 Suspected BUY Trade
15:03:32 - 02-Feb-26
Sell* 10 £40.08 Automatic Execution
14:53:05 - 02-Feb-26
Sell* 9 £40.14 Automatic Execution
14:47:41 - 02-Feb-26
Sell* 10 £40.15 Automatic Execution
14:47:13 - 02-Feb-26
Sell* 10 £40.105 Automatic Execution
14:40:17 - 02-Feb-26
Buy* 12 £40.1275 Suspected BUY Trade
14:20:59 - 02-Feb-26
Sell* 7 £39.902 Negotiated Trade
12:32:35 - 02-Feb-26
Buy* 1 £39.845 Automatic Execution
11:15:01 - 02-Feb-26
Unknown* 125 £39.85 Negotiated Trade
OTC Trade
11:13:02 - 02-Feb-26
Buy* 125 £39.85 Automatic Execution
11:13:01 - 02-Feb-26
Buy* 118 £39.7923 Suspected BUY Trade
10:44:39 - 02-Feb-26
Buy* 4 £39.82375 Suspected BUY Trade
08:54:26 - 02-Feb-26
Sell* 301 £39.6875 Negotiated Trade
08:15:41 - 02-Feb-26
Sell* 2,622 £39.775 Automatic Execution
15:35:39 - 30-Jan-26
Sell* 115 £39.7317 SI Trade
15:22:22 - 30-Jan-26
Sell* 7 £39.6525 Negotiated Trade
12:54:06 - 30-Jan-26
Sell* 142 £39.51775 Negotiated Trade
08:51:45 - 30-Jan-26
Buy* 87 £39.655 Suspected BUY Trade
16:35:16 - 29-Jan-26
Sell* 16 £39.8058 Negotiated Trade
13:52:18 - 29-Jan-26
Buy* 127 £39.80692 Ordinary
10:42:22 - 29-Jan-26
Sell* 5 £39.76725 Negotiated Trade
10:07:45 - 29-Jan-26
Sell* 1,502 £39.722 Negotiated Trade
08:47:45 - 29-Jan-26
Buy* 2 £39.7943 Suspected BUY Trade
14:07:53 - 28-Jan-26
Buy* 100 £39.755 Automatic Execution
13:39:52 - 28-Jan-26
Buy* 204 £39.80 Automatic Execution
12:12:18 - 28-Jan-26
Buy* 200 £39.82 Automatic Execution
10:56:49 - 28-Jan-26
Sell* 1,064 £39.79725 Negotiated Trade
10:19:48 - 28-Jan-26
Sell* 16 £39.72775 Negotiated Trade
08:17:16 - 28-Jan-26
Buy* 1 £39.79445 Suspected BUY Trade
08:03:37 - 28-Jan-26
Sell* 226 £39.76456 Ordinary
08:03:21 - 28-Jan-26
Sell* 12 £39.836 Negotiated Trade
16:26:42 - 27-Jan-26
Buy* 1 £39.87975 Suspected BUY Trade
15:55:09 - 27-Jan-26
Sell* 33 £39.86125 Negotiated Trade
15:48:38 - 27-Jan-26
Sell* 2 £39.80525 Negotiated Trade
15:10:15 - 27-Jan-26
Buy* 8 £40.1397 Suspected BUY Trade
10:47:11 - 27-Jan-26
Sell* 11 £40.182 Negotiated Trade
08:49:49 - 27-Jan-26
Sell* 338 £40.206 Negotiated Trade
08:03:31 - 27-Jan-26
Buy* 871 £40.22 Automatic Execution
08:01:13 - 27-Jan-26
Buy* 827 £40.225 Automatic Execution
08:00:46 - 27-Jan-26
Buy* 827 £40.225 Automatic Execution
08:00:46 - 27-Jan-26
Sell* 18 £40.05625 Negotiated Trade
16:19:09 - 26-Jan-26
Sell* 55 £40.11125 Negotiated Trade
15:49:53 - 26-Jan-26
Buy* 36 £40.17 Automatic Execution
15:27:59 - 26-Jan-26
Buy* 1 £40.2097 Suspected BUY Trade
15:15:21 - 26-Jan-26
Sell* 198 £40.18658 Ordinary
14:13:16 - 26-Jan-26
Buy* 289 £40.18775 Suspected BUY Trade
12:49:44 - 26-Jan-26
Buy* 200 £40.135 Automatic Execution
10:49:59 - 26-Jan-26
Buy* 6 £40.1396 Suspected BUY Trade
10:46:19 - 26-Jan-26
Buy* 242 £40.135 Automatic Execution
10:45:21 - 26-Jan-26
Sell* 13 £40.16275 Negotiated Trade
08:18:02 - 26-Jan-26
Sell* 62 £40.15596 Ordinary
08:03:15 - 26-Jan-26
Buy* 44 £40.424 Suspected BUY Trade
16:21:35 - 23-Jan-26
Buy* 90 £40.39 Automatic Execution
15:59:58 - 23-Jan-26
Sell* 1 £40.47035 Negotiated Trade
15:13:36 - 23-Jan-26
Sell* 42 £40.57775 Negotiated Trade
11:16:08 - 23-Jan-26
Sell* 52 £40.57175 Negotiated Trade
10:45:52 - 23-Jan-26
Buy* 87 £40.59 Automatic Execution
10:12:08 - 23-Jan-26
Sell* 9 £40.6205 Negotiated Trade
09:39:10 - 23-Jan-26
Buy* 794 £40.735 Automatic Execution
09:00:43 - 23-Jan-26
Buy* 164 £40.78325 Suspected BUY Trade
08:46:48 - 23-Jan-26
Sell* 1 £40.94035 Negotiated Trade
15:55:22 - 22-Jan-26
Buy* 2,626 £40.9439 Ordinary
15:28:40 - 22-Jan-26
Buy* 3 £40.9098 Suspected BUY Trade
15:13:09 - 22-Jan-26
Sell* 1 £41.0255 Negotiated Trade
14:16:37 - 22-Jan-26
Sell* 134 £41.0137 Ordinary
10:45:52 - 22-Jan-26
Buy* 9 £41.04465 Suspected BUY Trade
10:45:52 - 22-Jan-26
Buy* 1 £41.05275 Suspected BUY Trade
10:27:56 - 22-Jan-26
Buy* 149 £41.06775 Suspected BUY Trade
09:40:51 - 22-Jan-26
Buy* 8 £40.5685 Suspected BUY Trade
14:52:21 - 21-Jan-26
Unknown* 1,927 £40.329 OTC Trade
14:07:05 - 21-Jan-26
Sell* 8 £40.25275 Negotiated Trade
13:05:50 - 21-Jan-26
Sell* 77 £40.29225 Negotiated Trade
12:20:13 - 21-Jan-26
Sell* 87 £40.323 Negotiated Trade
11:45:27 - 21-Jan-26
Sell* 7 £40.34725 Negotiated Trade
11:35:24 - 21-Jan-26
Sell* 21 £40.30725 Negotiated Trade
09:02:44 - 21-Jan-26
Sell* 7 £40.212 Negotiated Trade
15:20:09 - 20-Jan-26
Sell* 9 £40.2606 Negotiated Trade
14:14:44 - 20-Jan-26
Buy* 889 £40.30 Automatic Execution
13:49:39 - 20-Jan-26
Buy* 127 £40.295 Automatic Execution
13:49:38 - 20-Jan-26
Buy* 793 £40.295 Automatic Execution
13:49:37 - 20-Jan-26
Buy* 808 £40.30 Automatic Execution
13:49:31 - 20-Jan-26
Buy* 117 £40.305 Automatic Execution
13:49:27 - 20-Jan-26
Buy* 803 £40.305 Automatic Execution
13:49:27 - 20-Jan-26
Buy* 212 £40.305 Automatic Execution
13:48:54 - 20-Jan-26
Buy* 708 £40.305 Automatic Execution
13:48:53 - 20-Jan-26
Sell* 34 £40.17275 Negotiated Trade
11:06:20 - 20-Jan-26
Sell* 2 £40.12055 Negotiated Trade
10:43:14 - 20-Jan-26
Sell* 14 £40.08825 Negotiated Trade
10:06:20 - 20-Jan-26
Sell* 810 £40.13 Automatic Execution
08:58:30 - 20-Jan-26
Sell* 920 £40.13 Automatic Execution
08:58:30 - 20-Jan-26
Sell* 4 £40.14025 Negotiated Trade
08:51:37 - 20-Jan-26
Buy* 179 £40.23625 Suspected BUY Trade
08:49:51 - 20-Jan-26
Sell* 12 £40.2197 Negotiated Trade
08:03:44 - 20-Jan-26
Buy* 692 £40.575 Automatic Execution
16:07:06 - 19-Jan-26
Sell* 6 £40.5409 Negotiated Trade
14:14:37 - 19-Jan-26
Buy* 5 £40.64895 Suspected BUY Trade
14:09:07 - 19-Jan-26
Buy* 133 £40.6038 SI Trade
14:08:57 - 19-Jan-26
Buy* 704 £40.632 Suspected BUY Trade
10:36:35 - 19-Jan-26
Sell* 9 £40.53825 Negotiated Trade
09:48:56 - 19-Jan-26
Sell* 188 £40.6355 SI Trade
09:34:40 - 19-Jan-26
Sell* 3 £40.713 Negotiated Trade
08:34:30 - 19-Jan-26
Sell* 3 £40.6361 Negotiated Trade
08:03:21 - 19-Jan-26
Buy* 84 £40.965 Automatic Execution
16:29:00 - 16-Jan-26
Sell* 1,816 £40.945 Automatic Execution
15:54:53 - 16-Jan-26
Sell* 2,528 £40.915 Automatic Execution
15:35:56 - 16-Jan-26
Sell* 1,037 £41.00 Automatic Execution
13:40:58 - 16-Jan-26
Buy* 2 £41.10435 Suspected BUY Trade
10:45:35 - 16-Jan-26
Buy* 597 £41.15175 Suspected BUY Trade
08:16:56 - 16-Jan-26
Sell* 1,308 £41.13 Uncrossing Trade
08:00:18 - 16-Jan-26
Buy* 697 £41.15375 Suspected BUY Trade
16:07:35 - 15-Jan-26
Sell* 1,830 £41.13 Automatic Execution
15:42:15 - 15-Jan-26
Sell* 1,830 £41.14 Automatic Execution
15:40:58 - 15-Jan-26
Sell* 1,830 £41.13 Automatic Execution
15:39:35 - 15-Jan-26
Buy* 9 £41.0696 Suspected BUY Trade
15:13:29 - 15-Jan-26
Buy* 12 £41.0656 Suspected BUY Trade
15:04:43 - 15-Jan-26
Buy* 4 £40.9996 Suspected BUY Trade
14:17:47 - 15-Jan-26
Sell* 42 £40.79275 Negotiated Trade
11:04:50 - 15-Jan-26
Sell* 12 £40.72225 Negotiated Trade
09:03:37 - 15-Jan-26
Sell* 67 £40.74175 Negotiated Trade
08:34:05 - 15-Jan-26
Buy* 804 £40.795 Automatic Execution
08:20:58 - 15-Jan-26
Buy* 791 £40.805 Automatic Execution
08:20:47 - 15-Jan-26
Buy* 108 £40.81 Automatic Execution
08:20:01 - 15-Jan-26
Buy* 807 £40.81 Automatic Execution
08:20:01 - 15-Jan-26
Buy* 42 £40.805 Automatic Execution
08:19:52 - 15-Jan-26
Buy* 873 £40.805 Automatic Execution
08:19:52 - 15-Jan-26
Buy* 819 £40.805 Automatic Execution
08:19:36 - 15-Jan-26
Buy* 795 £40.81 Automatic Execution
08:19:32 - 15-Jan-26
Buy* 194 £40.805 Automatic Execution
08:19:30 - 15-Jan-26
Buy* 721 £40.805 Automatic Execution
08:19:28 - 15-Jan-26
Buy* 821 £40.80 Automatic Execution
08:19:21 - 15-Jan-26
Buy* 773 £40.81 Automatic Execution
08:17:36 - 15-Jan-26
Buy* 587 £40.81 Automatic Execution
08:17:36 - 15-Jan-26
Buy* 915 £40.81 Automatic Execution
08:17:36 - 15-Jan-26
Buy* 96 £40.78 Automatic Execution
08:01:08 - 15-Jan-26
Buy* 819 £40.78 Automatic Execution
08:01:08 - 15-Jan-26
Buy* 787 £40.775 Automatic Execution
08:00:58 - 15-Jan-26
Buy* 818 £40.77 Automatic Execution
08:00:47 - 15-Jan-26
Buy* 429 £40.77 Automatic Execution
08:00:47 - 15-Jan-26
Buy* 887 £40.77 Automatic Execution
08:00:47 - 15-Jan-26
Buy* 28 £40.77 Automatic Execution
08:00:37 - 15-Jan-26
Buy* 1,318 £40.765 Automatic Execution
08:00:37 - 15-Jan-26
Buy* 816 £40.765 Automatic Execution
08:00:34 - 15-Jan-26
Buy* 681 £40.775 Automatic Execution
08:00:32 - 15-Jan-26
Buy* 35 £40.77 Automatic Execution
08:00:29 - 15-Jan-26
Buy* 880 £40.77 Automatic Execution
08:00:29 - 15-Jan-26
Sell* 5 £40.42725 Negotiated Trade
12:04:34 - 14-Jan-26
Buy* 867 £40.47969 Ordinary
11:11:30 - 14-Jan-26
Buy* 1 £40.45825 Suspected BUY Trade
10:38:15 - 14-Jan-26
Sell* 1,838 £40.555 Automatic Execution
15:53:43 - 13-Jan-26
Buy* 2,574 £40.585 Automatic Execution
14:35:21 - 13-Jan-26
Buy* 2,574 £40.585 Automatic Execution
14:35:18 - 13-Jan-26
FTSE 100 Latest
Value10,369.75
Change60.53