| Stock Name / Fund | iShares Developed World ex-UK UCITS ETF EUR (Dist) |
| Issuer | Blackrock |
| Entity holding fund | iShares Public Limited Company |
| Entity Type | Umbrella investment company with variable capital and having segregated liability between its funds |
| Entity LEI | 549300YDM1GFZR5B4U80 |
| ETF Ticker | IQQU(EUR) F |
| ETF Ticker | IEUX.AS(EUR) CXE |
| ETF Ticker | IEUX.LS(GBX) CXE |
| ETF Ticker | IEUX.MI(EUR) CXE |
| ETF Ticker | IEUXz(CHF) CXE |
| ETF Ticker | IEUX(EUR) ETF Plus |
| Stock Name | Banca Mediolanum SpA |
| Ticker | BMED.MI(EUR) CXE |
| TYPE | EQTY |
| Country | Europe |
| ISIN | IT0004776628 |
| LEI | 7LVZJ6XRIE7VNZ4UBX81 |
Show aggregate BMED.MI holdings
| Date | Number of BMED.MI Shares Held | Base Market Value of BMED.MI Shares | Local Market Value of BMED.MI Shares | Change in BMED.MI Shares Held | Change in BMED.MI Base Value | Current Price per BMED.MI Share Held | Previous Price per BMED.MI Share Held |
|---|---|---|---|---|---|---|---|
| 2025-11-11 (Tuesday) | 33,612 | EUR 636,275![]() | EUR 636,275 | 0 | EUR 9,747 | EUR 18.93 | EUR 18.64 |
| 2025-11-10 (Monday) | 33,612 | EUR 626,528![]() | EUR 626,528 | 0 | EUR 20,504 | EUR 18.64 | EUR 18.03 |
| 2025-11-07 (Friday) | 33,612 | EUR 606,024![]() | EUR 606,024 | 0 | EUR 6,050 | EUR 18.03 | EUR 17.85 |
| 2025-11-06 (Thursday) | 33,612 | EUR 599,974![]() | EUR 599,974 | 0 | EUR 13,445 | EUR 17.85 | EUR 17.45 |
| 2025-11-05 (Wednesday) | 33,612 | EUR 586,529![]() | EUR 586,529 | 0 | EUR -8,067 | EUR 17.45 | EUR 17.69 |
| 2025-11-04 (Tuesday) | 33,612 | EUR 594,596![]() | EUR 594,596 | 0 | EUR 2,353 | EUR 17.69 | EUR 17.62 |
| 2025-11-03 (Monday) | 33,612 | EUR 592,243![]() | EUR 592,243 | 0 | EUR 7,058 | EUR 17.62 | EUR 17.41 |
| 2025-10-31 (Friday) | 33,612 | EUR 585,185![]() | EUR 585,185 | 0 | EUR 1,345 | EUR 17.41 | EUR 17.37 |
| 2025-10-30 (Thursday) | 33,612 | EUR 583,840![]() | EUR 583,840 | 0 | EUR 3,361 | EUR 17.37 | EUR 17.27 |
| 2025-10-29 (Wednesday) | 33,612 | EUR 580,479![]() | EUR 580,479 | 0 | EUR 4,033 | EUR 17.27 | EUR 17.15 |
| 2025-10-28 (Tuesday) | 33,612 | EUR 576,446![]() | EUR 576,446 | 0 | EUR 5,042 | EUR 17.15 | EUR 17 |
| 2025-10-27 (Monday) | 33,612 | EUR 571,404![]() | EUR 571,404 | 0 | EUR 4,370 | EUR 17 | EUR 16.87 |
| Date | Action | Quantity | Market High | Market Low | Likely Trade Price | Likely Trade Value (Profit/Loss) | Average Price previous trades |
|---|---|---|---|---|---|---|---|
| 2025-10-24 | SELL | -267 | 16.870 | 16.870 | 16.870 | EUR -4,504 | 15.59 Loss of -342 on sale |
| 2025-10-02 | SELL | -266 | 16.910 | 17.070 | 17.054 | EUR -4,536 | 15.35 Loss of -454 on sale |
| 2025-10-01 | SELL | -1,330 | 17.000 | 17.040 | 17.036 | EUR -22,658 | 15.32 Loss of -2,286 on sale |
| 2025-07-02 | BUY | 534 | 14.380 | 14.440 | 14.434 | EUR 7,708 | 14.40 |
| 2025-06-25 | BUY | 267 | 14.370 | 14.490 | 14.478 | EUR 3,866 | 14.36 |
* (if shown) = market close price used not a projected price. This is used when we do not have market data available to calculate a projection
The likely trade price/value is our estimate on the likely price the trade took place at and is not the actual trade price. The likely LOSS/GAIN is our estimate. Where a profit/loss value is shown in the Likely Trade Value column, this is derived from matching trades between periods eg the most recent previous BUY is matched with the SELL for the same number of shares and the difference between the likely BUY price and likely SELL price is calculated. Where a profit or loss is shown in the Average Price of Previous Trades column, this is dervied using the likely trade price compared to the average of previous trades based on adjusted close
| Date | Shorted Volume | Short Exempt Volume | Total Shares Traded | % Shorted |
|---|
The data here is derived from FINRA daily shorted trade data. The Daily Short Sale Volume is the total volume of short trades that meet certain criteria on each trade date by 6 PM ET on the trade date. The detail trade data is derived from the monthly shorted trade data which will differ in aggregate. The detail trade data is derived from the transaction level data and includes ALL trades (including exempt) and the aggregation period extends beyond 6pm.