| Date | Time | Trade Prc | Volume | Buy/Sell | Value | |
|---|---|---|---|---|---|---|
| 15-Jun-26 | 14:24:52 | 3,920.00 | 59 | Sell* | 2,313 | A Automatic Execution |
| 15-Jun-26 | 14:24:52 | 3,920.00 | 5 | Sell* | 196.00 | A Automatic Execution |
| 15-Jun-26 | 14:24:52 | 3,922.00 | 106 | Buy* | 4,157 | A Automatic Execution |
| 15-Jun-26 | 14:24:52 | 3,920.00 | 166 | Sell* | 6,507 | A Automatic Execution |
| 15-Jun-26 | 14:23:46 | 3,920.00 | 100 | Buy* | 3,920 | A Automatic Execution |
| 15-Jun-26 | 14:23:46 | 3,916.00 | 30 | Buy* | 1,175 | A Automatic Execution |
| 15-Jun-26 | 14:23:46 | 3,916.00 | 55 | Buy* | 2,154 | A Automatic Execution |
| 15-Jun-26 | 14:23:30 | 3,915.00 | 45 | Buy* | 1,762 | O Ordinary |
| 15-Jun-26 | 14:22:51 | 3,915.83 | 650 | Buy* | 25.45k | O Ordinary Trade was executed as an SI |
| 15-Jun-26 | 14:22:33 | 3,914.00 | 95 | Sell* | 3,718 | A Automatic Execution |
| 15-Jun-26 | 14:22:13 | 3,914.00 | 88 | Buy* | 3,444 | A Automatic Execution |
| 15-Jun-26 | 14:22:13 | 3,914.00 | 59 | Buy* | 2,309 | A Automatic Execution |
| 15-Jun-26 | 14:22:13 | 3,912.00 | 77 | Sell* | 3,012 | A Automatic Execution |
| 15-Jun-26 | 14:22:13 | 3,914.00 | 60 | Buy* | 2,348 | A Automatic Execution |
| 15-Jun-26 | 14:22:13 | 3,914.00 | 86 | Buy* | 3,366 | A Automatic Execution |