ALW - Ticker AI Digest

Alliance Witan Ord 📰 1

Digested News

Today's Catalysts (ALW) 1
ALW 16:20
Alliance Witan Ord
Transaction in Own Shares
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Results 1
ALW 06:01
Alliance Witan Ord
Final Results
Open AI Digest
Return to today’s catalyst cards, chart beacons and AI charts.
**Summary of Alliance Witan PLCs Final Results for the Year Ended 31 December 2025**
**Financial Performance**
**Share Price Total Return** 5.4%, with a share price of £12.82 as of 31 December 2025.
**Net Asset Value (NAV) Total Return** 4.7%, trailing the benchmark MSCI All Country World Index (MSCI ACWI) which returned 13.9%.
**Dividend** Increased by 6.1% to 28.32p per share, marking the 59th consecutive annual dividend rise.
**Average Discount to NAV** Narrowed to 4.1% from 4.7% in 2024, supported by share buybacks.
**Operational Highlights**
**Portfolio Performance** Despite a challenging year, the portfolio demonstrated resilience with a focus on long-term value creation.
**Share Buybacks** Repurchased 17.8 million shares (4.7% of shares in issue) in 2025, compared to 4.7 million in 2024, supporting the share price and NAV.
**Benchmark Underperformance** Attributed to the strong performance of concentrated markets and passive flows, particularly in AI-related stocks.
**Strategic Initiatives**
**Multi-Manager Approach** Continued to leverage the expertise of top stock pickers to build a diversified portfolio.
**ESG Integration** Progress towards Net Zero emissions by 2050, with a decrease in the portfolios weighted average carbon intensity.
**Marketing and Communication** Enhanced shareholder engagement through awards for marketing and communication, including best website and annual report.
**Board and Governance**
**Board Changes** Vicky Hastings and Andrew Ross stepped down as Directors in 2025.
**AGM** Scheduled for 29 April 2026 in London, with live streaming available for remote participation.
**Outlook**
**Market Volatility** Expect continued volatility due to geopolitical tensions and the impact of AI on various industries.
**Long-Term Confidence** The Board remains confident in the global multi-manager investment proposition to deliver strong, <mark style="background-color:yellow">above</mark>-benchmark returns over the long term.
**Financial Statements Key Points**
**Net Assets** £5.1 billion as of 31 December 2025.
**Earnings per Share (Revenue)** 18.5p.
**Total Dividend per Share** 28.32p.
**Ongoing Charges Ratio (OCR)** Decreased to 0.47% due to management fee waivers.
**Risk Management**
**Principal Risks** Investment, operational, and legal/regulatory compliance risks are actively monitored and managed.
**Emerging Risks** Geopolitical tensions, cybercrime, and the misuse of AI are identified as emerging risks.
**Viability and Going Concern**
**Viability Statement** The Board expects the Company to continue operating and meeting its liabilities for at least the next five years.
**Going Concern** Adequate financial resources to continue operations for at least twelve months.
**Conclusion**
Alliance Witan PLC demonstrated resilience in a challenging market environment, achieving its 59th consecutive annual dividend increase and maintaining a focus on long-term value creation. Despite underperforming the benchmark, the Company remains committed to its multi-manager strategy and ESG goals, positioning itself for sustained growth and shareholder value enhancement.
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All Market News (Last 30 Days) 14
ALW 16:20
Alliance Witan Ord
Transaction in Own Shares
ALW 16:06
Alliance Witan Ord
Transaction in Own Shares
ALW 06:01
Alliance Witan Ord
Final Results
Open AI Digest
Return to today’s catalyst cards, chart beacons and AI charts.
**Summary of Alliance Witan PLCs Final Results for the Year Ended 31 December 2025**
**Financial Performance**
**Share Price Total Return** 5.4%, with a share price of £12.82 as of 31 December 2025.
**Net Asset Value (NAV) Total Return** 4.7%, trailing the benchmark MSCI All Country World Index (MSCI ACWI) which returned 13.9%.
**Dividend** Increased by 6.1% to 28.32p per share, marking the 59th consecutive annual dividend rise.
**Average Discount to NAV** Narrowed to 4.1% from 4.7% in 2024, supported by share buybacks.
**Operational Highlights**
**Portfolio Performance** Despite a challenging year, the portfolio demonstrated resilience with a focus on long-term value creation.
**Share Buybacks** Repurchased 17.8 million shares (4.7% of shares in issue) in 2025, compared to 4.7 million in 2024, supporting the share price and NAV.
**Benchmark Underperformance** Attributed to the strong performance of concentrated markets and passive flows, particularly in AI-related stocks.
**Strategic Initiatives**
**Multi-Manager Approach** Continued to leverage the expertise of top stock pickers to build a diversified portfolio.
**ESG Integration** Progress towards Net Zero emissions by 2050, with a decrease in the portfolios weighted average carbon intensity.
**Marketing and Communication** Enhanced shareholder engagement through awards for marketing and communication, including best website and annual report.
**Board and Governance**
**Board Changes** Vicky Hastings and Andrew Ross stepped down as Directors in 2025.
**AGM** Scheduled for 29 April 2026 in London, with live streaming available for remote participation.
**Outlook**
**Market Volatility** Expect continued volatility due to geopolitical tensions and the impact of AI on various industries.
**Long-Term Confidence** The Board remains confident in the global multi-manager investment proposition to deliver strong, <mark style="background-color:yellow">above</mark>-benchmark returns over the long term.
**Financial Statements Key Points**
**Net Assets** £5.1 billion as of 31 December 2025.
**Earnings per Share (Revenue)** 18.5p.
**Total Dividend per Share** 28.32p.
**Ongoing Charges Ratio (OCR)** Decreased to 0.47% due to management fee waivers.
**Risk Management**
**Principal Risks** Investment, operational, and legal/regulatory compliance risks are actively monitored and managed.
**Emerging Risks** Geopolitical tensions, cybercrime, and the misuse of AI are identified as emerging risks.
**Viability and Going Concern**
**Viability Statement** The Board expects the Company to continue operating and meeting its liabilities for at least the next five years.
**Going Concern** Adequate financial resources to continue operations for at least twelve months.
**Conclusion**
Alliance Witan PLC demonstrated resilience in a challenging market environment, achieving its 59th consecutive annual dividend increase and maintaining a focus on long-term value creation. Despite underperforming the benchmark, the Company remains committed to its multi-manager strategy and ESG goals, positioning itself for sustained growth and shareholder value enhancement.
ALW 16:22
Alliance Witan Ord
Transaction in Own Shares
ALW 16:09
Alliance Witan Ord
Transaction in Own Shares
ALW 16:13
Alliance Witan Ord
Transaction in Own Shares
ALW 16:14
Alliance Witan Ord
Transaction in Own Shares
ALW 08:01
Alliance Witan Ord
Total Voting Rights
ALW 16:08
Alliance Witan Ord
Transaction in Own Shares
ALW 15:56
Alliance Witan Ord
Transaction in Own Shares
ALW 16:12
Alliance Witan Ord
Transaction in Own Shares
ALW 16:08
Alliance Witan Ord
Transaction in Own Shares
ALW 16:05
Alliance Witan Ord
Transaction in Own Shares
ALW 16:10
Alliance Witan Ord
Transaction in Own Shares

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Fundamentals Matrix

Overall Fundamentals
Signal: Pending
Capital Strength
Signal: Pending
Float Liquidity
Signal: Pending
Short Pressure
Signal: Pending
Target Setup
Signal: Pending
Market Profile
Signal: Pending
Market Cap
4726775296
Enterprise Value
-
Public Float
-
Broker Target
-
Shares Out
377537982
Long Interest
100
Short Interest
-
Exchange
-
Currency Code
-
ISIN
GB00B11V7W98
Market
None
Sector
Unknown
Float / Shares Ratio
-
Short vs Long Delta
-
EV / Market Cap
-

Financials Matrix

Overall Stability
Signal: Pending
Profitability
Signal: Pending
Debt & Cash
Signal: Pending
Valuation Risk
Signal: Pending
Forward Expectation
Signal: Pending
Dividend Safety
Signal: Pending
Divi Rate
0.28
Ex Divi
2026-02-26
Earnings Date
2026-03-06
Net Debt
248833000.0
Cash
121165000.0
EPS
0.57
Net Income
224464000.0
Revenue
257862000.0
Enterprise Value
-
Trailing PE
21.9649
Forward PE
-
Price Sales TTM
20.3914
Price Book MRQ
0.9245
EV Revenue
21.0696
EV EBITDA
-

Capital Radar

Capital Regime
Building signal blend...
Smart Money Tilt
Public vs institutions
Target Conviction
Broker coverage pulse
Insider Pressure
Director + TR1 flow
Last Held Position
-
Public Hands
-
Institutions
14.09
Institutions As Of
2024-10-11
Avg Broker Target
-
Upside Vs Price
-
Purchase Director Dealing
0
Sale Director Dealing
0
Purchase TR1
1
Sale TR1
0
Broker Coverage Rows
0
Institution Holders Tracked
1
Public Vs Institutional Ownership (3D)
Top Institution Holders (Latest Per Holder)
Director Dealing Sentiment Flow
Broker Target Bias
Signal: Pending
Capital Momentum Matrix
Broker Targets Vs Price
Aggregated Institution Weight By Holder

Short Data - Last 30 Days

Nexus Pulse Engine

Overall Buy/Sell/Hold
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Technical Composite
Signal: Pending
Financial Composite
Signal: Pending
Fundamental Composite
Signal: Pending
Short Pressure
Signal: Pending
Momentum Bias
Signal: Pending

Volatility Lab

ATR(14)
Realized Vol (20d)
Volume Spike Z

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Today's Catalysts

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