Latest trades

Date Time Price Amount Value Type Buy / sell
18/07/2025 15:45:05 320p 7,500 £24,000.00 O Sell
18/07/2025 15:05:00 321p 23 £73.83 AT Buy
18/07/2025 15:03:00 319p 7 £22.33 AT Sell
18/07/2025 15:01:03 319p 2 £6.38 AT Sell
18/07/2025 14:36:05 320p 5,000 £16,000.00 O Sell
18/07/2025 14:26:03 321p 143 £459.03 AT Buy
18/07/2025 14:26:03 321p 95 £304.95 AT Buy
18/07/2025 14:04:04 319p 16 £51.04 O Sell
18/07/2025 14:04:04 319p 26 £82.94 O Sell
18/07/2025 14:04:04 319p 1,240 £3,955.60 AT Sell
18/07/2025 13:52:00 321p 119 £381.99 O Buy
18/07/2025 12:34:04 320p 620 £1,984.00 O Buy
18/07/2025 11:40:04 320p 713 £2,281.60 O Sell
18/07/2025 11:35:02 320p 73 £233.60 O Buy
18/07/2025 11:29:03 321p 23 £73.83 AT Buy
18/07/2025 10:35:03 320p 361 £1,155.20 O Buy
18/07/2025 10:32:01 320p 25 £80.00 AT Sell
18/07/2025 10:09:05 321p 93 £298.53 O Buy
18/07/2025 09:58:05 321p 200 £642.00 O Buy
18/07/2025 09:58:05 320p 200 £640.00 O Sell

Analysis

Buy Sell
Quantity - -
Volume - -
Value - -

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