| Hsbc Ww Eq Share Price | |||
|---|---|---|---|
| Price | 31.39 | Open | 31.37 |
| Bid | 31.37 | High | 31.40 |
| Ask | 31.42 | Low | 31.26 |
| Change | 0.395 (1.27%) | Close | 31.00 |
| Volume | 12,830 | ||
| Currency | GBP |
|---|---|
| Issue Country | ZZ |
| Shares in Issue | 0.00 |
| Market Cap | - |
| PE Ratio | 0.00 |
| EPS | 0.00 |
| Year High | 31.44 |
|---|---|
| Year High Date | 02-Jun-2026 |
| Year Low | 23.68 |
| Year Low Date | 17-Jun-2025 |
| Dividend | 0.00 |
| Yield | 0.00% |
| # Trades | 36 |
|---|---|
| Vol. Sold | 5,296 |
| Sold Value | £165.98k |
| Vol. Bought | 7,534 |
| Bought Value | £236.14k |
| Market Size | 200 |
| Date | Time | Trade Prc | Volume | Buy/Sell | Bid | Ask | Value | |
|---|---|---|---|---|---|---|---|---|
| 15-Jun-26 | 16:24:06 | 31.3963 | 65 | Buy* | 31.35 | 31.40 | 2,041 | O Ordinary |
| 15-Jun-26 | 16:11:33 | 31.39 | 15 | Buy* | 31.36 | 31.39 | 470.85 | O Ordinary Trade was executed as an SI |
| 15-Jun-26 | 16:11:30 | 31.39 | 15 | Buy* | 31.37 | 31.39 | 470.85 | A Automatic Execution |
| 15-Jun-26 | 15:32:10 | 31.36 | 8 | Buy* | 31.33 | 31.36 | 250.88 | O Ordinary Trade was executed as an SI |
| 15-Jun-26 | 15:24:43 | 31.3693 | 478 | Buy* | 31.32 | 31.37 | 14.99k | O Ordinary Non risk Risk trade |
| 15-Jun-26 | 15:24:06 | 31.36595 | 478 | Buy* | 31.32 | 31.37 | 14.99k | O Ordinary |
| 15-Jun-26 | 15:19:19 | 31.36 | 54 | Buy* | 31.31 | 31.36 | 1,693 | O Ordinary |
| 15-Jun-26 | 15:11:15 | 31.33 | 1 | Sell* | 31.33 | 31.38 | 31.33 | O Ordinary |
| 15-Jun-26 | 14:58:59 | 31.41 | 119 | Buy* | 31.36 | 31.40 | 3,738 | O Ordinary |
| 15-Jun-26 | 14:43:09 | 31.40 | 7 | Buy* | 31.35 | 31.40 | 219.80 | O Ordinary |
| Announced | Traded | Action | Notifier | Price | Currency | Amount | Holding |
|---|---|---|---|---|---|---|---|
| |||||||