Latest trades

Date Time Price Amount Value Type Buy / sell
10/10/2025 13:00:01 38p 3,713 £1,410.94 O Buy
10/10/2025 12:48:01 37p 900 £333.00 O Sell
10/10/2025 12:18:05 37p 67 £24.79 O Sell
10/10/2025 12:01:02 39p 28 £10.92 O Buy
10/10/2025 12:01:02 37p 191 £70.67 O Sell
10/10/2025 11:32:04 38p 65 £24.70 O Buy
10/10/2025 11:29:01 37p 1,500 £555.00 O Sell
10/10/2025 11:06:01 37p 10,000 £3,700.00 O Sell
10/10/2025 11:05:05 37p 20,000 £7,400.00 O Sell
10/10/2025 11:02:02 38p 210 £79.80 O Buy
10/10/2025 10:22:05 39p 4 £1.56 O Buy
10/10/2025 10:22:05 39p 83 £32.37 O Buy
10/10/2025 10:22:05 37p 108 £39.96 O Sell
10/10/2025 10:22:05 39p 328 £127.92 O Buy
10/10/2025 10:17:03 38p 10,000 £3,800.00 O Sell
10/10/2025 09:59:03 38p 30,000 £11,400.00 O Buy
10/10/2025 09:28:05 38p 2,944 £1,118.72 O Buy
10/10/2025 08:41:00 37p 50,000 £18,500.00 O Sell
10/10/2025 08:36:03 38p 20,000 £7,600.00 O Sell
10/10/2025 08:34:01 39p 5 £1.95 O Buy

Analysis

Buy Sell
Quantity 10 10
Volume 37,380 112,766
Value £14,325 £41,842

Most common trades

Type Description
AT Automated Trade
O Ordinary Trade
PT Closing price crossing session Trade
UT Uncrossing Trade
B Broker to Broker

Other trades

Type Description
EU Euro Automated Trades
ER Euro Trades
K Block Trade
LC Late Trade Correction
M Market Maker to Market Maker including through IDB
N Non Protected Portfolio
NM Not to Mark
NR Non Risk (SEATS Based Segments only)
P Protected Portfolio
R Riskless Principal transaction at different Price
RO Result of Option
RT Risk Trade (SEATS Based Segments only)
ST SEAQ Trade
SW Stock Swap
X Cross at the Same Price
PA If reporting a protected transaction at the time that protection is applied
PC Previous Day Contra
T If reporting a single protected transaction
WN Worked Principal Notification
WT Worked Principal Trade
CT Contra Trade
AI Automated Input facility
PN Worked Principal Portfolio Notification
VW Volume Weighted Average Price