Share Trades - Hardide PLC (LSE:HDD)
FTSE AIM All Share ChemicalsMarket cap: £3.004m
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| Trade time | Price (p) | Volume | Assumed purchase/sale* | Bid (p) | Ask (p) |
|---|---|---|---|---|---|
| 16:25 (19/11) | .50 | 100000 | sale | .50 | .70 |
| 13:24 (18/11) | .45 | 400000 | sale | .50 | .70 |
| 10:09 (18/11) | .50 | 50000 | sale | .50 | .75 |
| 08:03 (12/11) | .66 | 10000 | purchase | .50 | .75 |
| 13:03 (10/11) | .66 | 7160 | purchase | .50 | .75 |
| 12:12 (09/11) | .66 | 15667 | purchase | .50 | .75 |
| 08:16 (09/11) | .66 | 16000 | purchase | .50 | .75 |
| 09:56 (06/11) | .50 | 33000 | sale | .50 | .75 |
| 12:36 (30/10) | .60 | 400000 | sale | .60 | .80 |
| 09:55 (27/10) | .62 | 9497 | sale | .60 | .80 |
| 08:19 (21/10) | .62 | 10000 | sale | .60 | .80 |
| 13:23 (16/10) | .75 | 90000 | purchase | .60 | .80 |
| 11:08 (16/10) | .75 | 25207 | purchase | .60 | .80 |
| 10:35 (16/10) | .61 | 10000 | sale | .60 | .80 |
| 09:47 (16/10) | .61 | 50000 | sale | .60 | .80 |
| 09:44 (16/10) | .72 | 68155 | purchase | .60 | .80 |
| 08:15 (16/10) | .61 | 17250 | sale | .60 | .80 |
| 09:44 (15/10) | .62 | 410000 | sale | .60 | .80 |
| 16:04 (14/10) | .72 | 500000 | purchase | .60 | .80 |
| 11:56 (13/10) | .72 | 67447 | purchase | .60 | .80 |
| 08:16 (13/10) | .72 | 67933 | purchase | .60 | .80 |
| 09:34 (09/10) | .74 | 25000 | purchase | .60 | .80 |
| 09:32 (09/10) | .74 | 132782 | purchase | .60 | .80 |
| 16:29 (07/10) | .60 | 250000 | sale | .60 | .80 |
| 16:19 (07/10) | .60 | 50000 | sale | .60 | .80 |
| 08:54 (06/10) | .80 | 1325 | purchase | .60 | .80 |
| 15:17 (05/10) | .60 | 200000 | sale | .60 | .80 |
| 08:42 (05/10) | .78 | 250000 | purchase | .65 | .80 |
| 15:59 (02/10) | .62 | 80000 | sale | .65 | .85 |
| 12:09 (29/09) | .71 | 70000 | sale | .70 | .90 |
| 10:22 (29/09) | .86 | 7649 | purchase | .70 | .90 |
| 10:22 (25/09) | .70 | 100000 | sale | .70 | .90 |
| 16:24 (24/09) | .72 | 20000 | sale | .70 | .90 |
| 16:24 (24/09) | .72 | 20000 | ? | ||
| 16:06 (24/09) | .72 | 50000 | sale | .70 | .90 |
| 12:35 (23/09) | .72 | 50000 | sale | .70 | .90 |
| 12:56 (22/09) | .86 | 5579 | purchase | .70 | .90 |
| 15:00 (21/09) | .72 | 30000 | sale | .70 | .90 |
| 11:55 (21/09) | .72 | 100000 | sale | .70 | .90 |
| 09:58 (21/09) | .72 | 10000 | sale | .70 | .90 |
| 09:05 (21/09) | .72 | 47932 | sale | .70 | .90 |
| 11:46 (18/09) | .72 | 5121 | sale | .70 | .90 |
| 15:23 (17/09) | .72 | 198569 | sale | .70 | .90 |
| 14:20 (17/09) | .87 | 110000 | purchase | .70 | .90 |
| 11:46 (17/09) | .72 | 5217 | sale | .70 | .90 |
| 10:30 (17/09) | .72 | 12000 | sale | .70 | .90 |
| 15:27 (16/09) | .72 | 950 | sale | .70 | .90 |
| 12:57 (16/09) | .72 | 16000 | sale | .70 | .90 |
| 10:30 (15/09) | .72 | 50006 | sale | .70 | .90 |
| 14:35 (11/09) | .88 | 11312 | purchase | .70 | .90 |
*Assumed purchase/sale is judged on the basis of the trade price in relation to the mid-price at the time the trade is published, e.g. if the trade price is greater than the mid-price, a purchase is assumed. Large trades can be subject to a delay in publication which may result in an unreliable interpretation.
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