Holdings derived from the most recent reported transactions. Not adjusted for stock splits or share-class conversions.
| Issuer | Shares | Source | Last tx | Detail |
|---|---|---|---|---|
| CRANSWICK PLC | 428 | net | 12 Sept 2025 | tx 12+1,264−836 |
| Date | Type | Issuer | Qty | Price | Signals |
|---|---|---|---|---|---|
| 12 Sept 2025 | DIVIDEND_REINVEST | CRANSWICK PLC | 42 | 52.06 GBP | |
| 13 Feb 2024 | DIVIDEND_REINVEST | CRANSWICK PLC | 16 | 40.10 GBP | |
| 11 Sept 2023 | GIFT | CRANSWICK PLC | 576 | 34.51 GBP | |
| 13 Sept 2022 | DIVIDEND_REINVEST | CRANSWICK PLC | 28 | 31.20 GBP | |
| 13 Sept 2022 | PURCHASE | CRANSWICK PLC | 638 | — | first after silence |
| 11 Feb 2022 | DIVIDEND_REINVEST | CRANSWICK PLC | 8 | — | |
| 13 Sept 2021 | DIVIDEND_REINVEST | CRANSWICK PLC | 20 | 39.22 GBP | |
| 11 Sept 2020 | PURCHASE | CRANSWICK PLC | 13 | 36.03 GBP | |
| 20 May 2021 | PURCHASE | CRANSWICK PLC | 494 | 40.12 GBP | |
| 11 Mar 2021 | PURCHASE | CRANSWICK PLC | 5 | 34.21 GBP | |
| 18 Apr 2018 | SALE | CRANSWICK PLC | 130 | — | |
| 18 Apr 2018 | SALE | CRANSWICK PLC | 130 | — |
1 purchase reported after at least 12 months of silence — most recent on 13 Sept 2022.