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REG - Societe Generale SA BG Group Royal Dutch Shell - Form 8.3 - Royal Dutch Shell Plc <Origin Href="QuoteRef">BG.L</Origin> <Origin Href="QuoteRef">RDSa.L</Origin> - Part 2

- Part 2: For the preceding part double click  ID:nRSC9719Na 

  Sale                  5,000                                                       19.0                     American options                  17/06/2016   
 EUR 0.07 B Ordinary         Listed call-option                    Sale                  2,000                                                       18                       American options                  17/06/2016   
 EUR 0.07 B Ordinary         Listed call-option                    Sale                  2,000                                                       19                       American options                  18/03/2016   
 EUR 0.07 B Ordinary         Listed call-option                    Sale                  3,000                                                       16                       American options                  17/06/2016   
 EUR 0.07 B Ordinary         Listed put-option                     Purchase              3,000                                                       22.5                     American options                  17/06/2016   
 EUR 0.07 B Ordinary         Listed put-option                     Purchase              51,000                                                      14                       American options                  18/03/2016   
 EUR 0.07 B Ordinary         Listed put-option                     Purchase              68,000                                                      16                       American options                  16/12/2016   
 EUR 0.07 B Ordinary         Listed put-option                     Purchase              1,000                                                       17.500                   American options                  18/03/2016   
 EUR 0.07 B Ordinary         Listed put-option                     Purchase              7,000                                                       18.500                   American options                  17/06/2016   
 EUR 0.07 B Ordinary         Listed put-option                     Purchase              60,000                                                      18                       American options                  16/12/2016   
 EUR 0.07 B Ordinary         Listed put-option                     Purchase              27,000                                                      18                       American options                  17/06/2016   
 EUR 0.07 B Ordinary         Listed put-option                     Purchase              520,000                                                     14                       American options                  16/12/2016   
 EUR 0.07 B Ordinary         Listed put-option                     Purchase              1,000                                                       19.500                   American options                  17/06/2016   
 EUR 0.07 B Ordinary         Listed put-option                     Purchase              60,000                                                      20                       American options                  16/12/2016   
 EUR 0.07 B Ordinary         Listed put-option                     Purchase              40,000                                                      20                       American options                  17/06/2016   
 EUR 0.07 B Ordinary         Listed put-option                     Purchase              20,000                                                      20                       American options                  18/03/2016   
 EUR 0.07 B Ordinary         Listed put-option                     Purchase              10,000                                                      22                       American options                  17/06/2016   
 EUR 0.07 B Ordinary         Listed put-option                     Purchase              5,000                                                       22                       American options                  18/03/2016   
 EUR 0.07 B Ordinary         Listed put-option                     Purchase              25,000                                                      18                       American options                  16/12/2016   
 EUR 0.07 B Ordinary         Listed put-option                     Purchase              30,000                                                      17                       American options                  17/06/2016   
 EUR 0.07 B Ordinary         Listed put-option                     Purchase              30,000                                                      12                       American options                  15/09/2017   
 EUR 0.07 B Ordinary         Listed put-option                     Purchase              30,000                                                      12                       American options                  15/12/2017   
 EUR 0.07 B Ordinary         Listed put-option                     Purchase              30,000                                                      12                       American options                  17/03/2017   
 EUR 0.07 B Ordinary         Listed put-option                     Purchase              200,000                                                     12                       American options                  19/02/2016   
 EUR 0.07 B Ordinary         Listed put-option                     Sale                  329,000                                                     18                       American options                  18/03/2016   
 EUR 0.07 B Ordinary         Listed put-option                     Sale                  8,000                                                       17                       American options                  18/03/2016   
 EUR 0.07 B Ordinary         Listed put-option                     Sale                  24,000                                                      16                       American options                  18/03/2016   
 
 
This information is provided by RNS
The company news service from the London Stock Exchange

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