Date | Time | Trade Prc | Volume | Buy/Sell | Value | |
---|---|---|---|---|---|---|
03-May-24 | 15:26:18 | 219.20 | 10 | Buy* | 2,192 | A Automatic Execution |
03-May-24 | 15:13:02 | 219.49 | 500 | Sell* | 109.75k | A Automatic Execution |
03-May-24 | 14:36:49 | 218.84 | 10 | Buy* | 2,188 | A Automatic Execution |
03-May-24 | 14:36:49 | 218.83 | 10 | Buy* | 2,188 | A Automatic Execution |
03-May-24 | 10:50:21 | 220.77 | 20 | Buy* | 4,415 | O Ordinary Trade was executed as an SI |
03-May-24 | 10:50:21 | 220.77 | 34 | Buy* | 7,506 | A Automatic Execution |
03-May-24 | 10:50:21 | 220.67 | 10 | Buy* | 2,207 | A Automatic Execution |
03-May-24 | 10:50:21 | 220.66 | 10 | Buy* | 2,207 | A Automatic Execution |
03-May-24 | 10:45:06 | 220.86 | 58 | Buy* | 12.81k | A Automatic Execution |
03-May-24 | 10:45:06 | 220.80 | 10 | Buy* | 2,208 | A Automatic Execution |
03-May-24 | 10:45:06 | 220.79 | 10 | Buy* | 2,208 | A Automatic Execution |
03-May-24 | 10:45:06 | 220.78 | 18 | Buy* | 3,974 | A Automatic Execution |
03-May-24 | 09:39:49 | 220.54 | 5 | Buy* | 1,103 | A Automatic Execution |
03-May-24 | 08:11:23 | 220.36 | 30 | Sell* | 6,611 | A Automatic Execution |
03-May-24 | 08:11:23 | 220.43 | 10 | Sell* | 2,204 | A Automatic Execution |