UK
Meldepflichtige Eigengeschäfte von Führungskräften (Directors' Dealings) gemäß Art. 19 MAR – wer im eigenen Unternehmen kauft und verkauft.
Datenstand: 28.09.2026 (heute)
| Unternehmen | Anz. Insider | Vol. Käufe | Vol. Verkäufe | Differenz ↓ |
|---|---|---|---|---|
| GRESHAM HOUSE ENERGY STORAGE FUND PLC | 1 | 2.020.019.840 £ | 0 £ | 2.020.019.840 £ |
| ABERDEEN GROUP PLC | 1 | 18.617.796 £ | 0 £ | 18.617.796 £ |
| ASTRAZENECA PLC | 2 | 15.128.466 £ | 0 £ | 15.128.466 £ |
| HAYS PLC | 5 | 13.909.020 £ | 0 £ | 13.909.020 £ |
| SAVANNAH ENERGY PLC | 1 | 8.741.400 £ | 0 £ | 8.741.400 £ |
| MOTHERCARE PLC | 1 | 3.750.000 £ | 0 £ | 3.750.000 £ |
| THE BANKERS INVESTMENT TRUST PLC | 3 | 3.247.920 £ | 0 £ | 3.247.920 £ |
| ROSEBANK INDUSTRIES PLC | 1 | 2.776.163 £ | 0 £ | 2.776.163 £ |
| ORYX INTERNATIONAL GROWTH FUND LIMITED | 1 | 2.640.000 £ | 0 £ | 2.640.000 £ |
| BUNZL PLC | 5 | 2.581.294 £ | 0 £ | 2.581.294 £ |
| TEMPLETON EMERGING MARKETS INVESTMENT TRUST PLC | 1 | 1.437.513 £ | 0 £ | 1.437.513 £ |
| JOHNSON MATTHEY PLC | 3 | 960.088 £ | 0 £ | 960.088 £ |
| NAME: JARDINE MATHESON HOLDINGS LIMITED | 2 | 705.341 £ | 0 £ | 705.341 £ |
| COILED THERAPEUTICS PLC | 1 | 531.743 £ | 0 £ | 531.743 £ |
| ENTAIN PLC | 1 | 499.984 £ | 0 £ | 499.984 £ |
| JD SPORTS FASHION PLC | 1 | 492.800 £ | 0 £ | 492.800 £ |
| CURRYS PLC | 1 | 393.119 £ | 0 £ | 393.119 £ |
| DUNELM GROUP PLC | 5 | 388.257 £ | 0 £ | 388.257 £ |
| HILTON FOOD GROUP PLC | 2 | 357.727 £ | 0 £ | 357.727 £ |
| GSK PLC | 18 | 318.856 £ | 0 £ | 318.856 £ |
| CENTRICA PLC | 5 | 315.261 £ | 0 £ | 315.261 £ |
| TARGET HEALTHCARE REIT PLC | 1 | 312.400 £ | 0 £ | 312.400 £ |
| ROLLS-ROYCE HOLDINGS PLC | 4 | 249.674 £ | 0 £ | 249.674 £ |
| SOCIAL HOUSING REIT PLC | 1 | 198.919 £ | 0 £ | 198.919 £ |
| ORIGIN ENTERPRISES PLC | 2 | 185.374 £ | 0 £ | 185.374 £ |
| THE CONYGAR INVESTMENT COMPANY PLC | 1 | 183.261 £ | 0 £ | 183.261 £ |
| INTERNATIONAL PAPER COMPANY | 4 | 166.154 £ | 0 £ | 166.154 £ |
| REACH PLC | 1 | 166.000 £ | 0 £ | 166.000 £ |
| SCHRODER REAL ESTATE INVESTMENT TRUST LIMITED | 4 | 164.054 £ | 0 £ | 164.054 £ |
| AVI GLOBAL TRUST PLC | 1 | 100.082 £ | 0 £ | 100.082 £ |
| THE PROPERTY FRANCHISE GROUP PLC | 1 | 90.860 £ | 0 £ | 90.860 £ |
| RECKITT BENCKISER GROUP PLC | 2 | 85.758 £ | 0 £ | 85.758 £ |
| ST. JAMES'S PLACE PLC | 1 | 79.563 £ | 0 £ | 79.563 £ |
| INTERCONTINENTAL HOTELS GROUP PLC | 1 | 76.925 £ | 0 £ | 76.925 £ |
| W.A.G PAYMENT SOLUTIONS PLC | 1 | 59.863 £ | 0 £ | 59.863 £ |
| NORTH ATLANTIC SMALLER COMPANIES INVESTMENT TRUST PLC | 3 | 57.872 £ | 0 £ | 57.872 £ |
| INTERCEDE GROUP PLC | 1 | 52.968 £ | 0 £ | 52.968 £ |
| SCHRODER ASIAPACIFIC FUND PLC | 1 | 51.488 £ | 0 £ | 51.488 £ |
| OXFORD NANOPORE TECHNOLOGIES PLC | 3 | 50.337 £ | 0 £ | 50.337 £ |
| SUPERMARKET INCOME REIT PLC | 1 | 50.002 £ | 0 £ | 50.002 £ |
| COCA-COLA HBC AG | 12 | 39.787 £ | 0 £ | 39.787 £ |
| BRITISH AMERICAN TOBACCO P.L.C. | 9 | 34.864 £ | 0 £ | 34.864 £ |
| HIKMA PHARMACEUTICALS PLC | 3 | 33.681 £ | 0 £ | 33.681 £ |
| HALEON PLC | 2 | 28.868 £ | 0 £ | 28.868 £ |
| EUROCELL PLC | 4 | 26.092 £ | 0 £ | 26.092 £ |
| TRUFIN PLC | 1 | 24.500 £ | 0 £ | 24.500 £ |
| STRATEGIC EQUITY CAPITAL PLC | 1 | 20.642 £ | 0 £ | 20.642 £ |
| CRIMSON TIDE PLC | 1 | 19.767 £ | 0 £ | 19.767 £ |
| AB DYNAMICS PLC | 2 | 19.766 £ | 0 £ | 19.766 £ |
| GRAN TIERRA ENERGY INC. | 1 | 16.730 £ | 0 £ | 16.730 £ |
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