Share Trades - Pan Pacific Aggregates PLC (LSE:PPA)
FTSE AIM All Share MiningMarket cap: £9.828m
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| Trade time | Price (p) | Volume | Assumed purchase/sale* | Bid (p) | Ask (p) |
|---|---|---|---|---|---|
| 16:24 (20/11) | .71 | 696803 | purchase | .65 | .75 |
| 15:34 (20/11) | .71 | 50000 | purchase | .65 | .75 |
| 15:06 (20/11) | .66 | 50000 | sale | .65 | .75 |
| 13:55 (20/11) | .66 | 76585 | sale | .65 | .75 |
| 13:55 (20/11) | .65 | 2307693 | sale | .65 | .75 |
| 12:24 (20/11) | .67 | 200000 | sale | .65 | .75 |
| 12:23 (20/11) | .67 | 96953 | sale | .65 | .75 |
| 12:07 (20/11) | .67 | 346706 | sale | .65 | .75 |
| 11:57 (20/11) | .68 | 500000 | sale | .65 | .75 |
| 11:51 (20/11) | .67 | 72954 | sale | .65 | .75 |
| 11:44 (20/11) | .67 | 80686 | sale | .65 | .75 |
| 11:02 (20/11) | .72 | 900 | purchase | .65 | .75 |
| 10:20 (20/11) | .67 | 167899 | sale | .65 | .75 |
| 10:15 (20/11) | .67 | 22276 | sale | .65 | .75 |
| 09:35 (20/11) | .73 | 52817 | purchase | .65 | .75 |
| 09:28 (20/11) | .73 | 146666 | purchase | .65 | .75 |
| 09:24 (20/11) | .73 | 24467 | purchase | .65 | .75 |
| 08:22 (20/11) | .67 | 10633 | sale | .65 | .75 |
| 08:22 (20/11) | .67 | 100000 | sale | .65 | .75 |
| 16:25 (19/11) | .72 | 200000 | purchase | .65 | .75 |
| 16:18 (19/11) | .72 | 363350 | purchase | .65 | .75 |
| 15:44 (19/11) | .67 | 200000 | sale | .65 | .75 |
| 15:23 (19/11) | .73 | 25489 | purchase | .65 | .75 |
| 14:54 (19/11) | .73 | 100000 | purchase | .65 | .75 |
| 14:53 (19/11) | .75 | 200000 | purchase | .65 | .75 |
| 14:52 (19/11) | .70 | 200000 | ? | .65 | .75 |
| 14:49 (19/11) | .73 | 107681 | purchase | .65 | .75 |
| 14:06 (19/11) | .73 | 68493 | purchase | .65 | .75 |
| 13:44 (19/11) | .70 | 1500000 | sale | .65 | .75 |
| 13:35 (19/11) | .72 | 500000 | purchase | .65 | .75 |
| 13:12 (19/11) | .71 | 500000 | purchase | .65 | .75 |
| 13:02 (19/11) | .71 | 250000 | purchase | .65 | .75 |
| 12:54 (19/11) | .71 | 111111 | purchase | .65 | .75 |
| 12:48 (19/11) | .72 | 250000 | purchase | .65 | .75 |
| 12:44 (19/11) | .70 | 1500000 | ? | ||
| 12:42 (19/11) | .72 | 300000 | purchase | .68 | .75 |
| 12:33 (19/11) | .71 | 9473 | purchase | .65 | .75 |
| 12:31 (19/11) | .71 | 19401 | purchase | .65 | .75 |
| 11:52 (19/11) | .68 | 450000 | sale | .65 | .75 |
| 11:15 (19/11) | .68 | 60000 | sale | .65 | .75 |
| 11:06 (19/11) | .70 | 1000000 | ? | .65 | .75 |
| 10:42 (19/11) | .71 | 64006 | purchase | .55 | .75 |
| 10:25 (19/11) | .71 | 300000 | purchase | .55 | .75 |
| 10:01 (19/11) | .64 | 50000 | sale | .60 | .75 |
| 09:59 (19/11) | .72 | 413211 | purchase | .60 | .75 |
| 09:31 (19/11) | .72 | 34695 | purchase | .60 | .75 |
| 09:13 (19/11) | .69 | 300000 | purchase | .60 | .75 |
| 09:13 (19/11) | .69 | 100000 | purchase | .60 | .75 |
| 09:12 (19/11) | .69 | 50000 | purchase | .60 | .75 |
| 08:51 (19/11) | .67 | 200000 | sale | .60 | .75 |
*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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