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@steady_profits We have covered many of these in-depth on our site. Including #CER https://t.co/St4P7CzMe4 #POLR https://t.co/VbsvBdhlhz and a review of the UK broker section as a whole, including #PLUS, #AJB and many others https://t.co/K2ck9CUO0K
I recently posted about the 10 US stocks with the strongest fundamentals, according to my screener, so today I thought I would post about the UK-listed stocks that currently have the strongest fundamentals:
- Polar Capital #POLR
- Foresight Group #FSG
- Softcat #SCT
- Cerillion #CER
- AJ Bell #AJB
- Mony Group #MONY
- Howden Joinery #HWDN
- Pan African Resources #PAF
- Plus 500 #PLUS
- AG Barr #BAG
I already own the stock that is number two on this list, Foresight Group, and am sitting on a nice 30% profit here, while Polar Capital #POLR and Cerillion #CER are already high up on my watchlist of potential buys, so I feel validated that these two made the list too.
However these are all solid companies, and I think many of them could be potential buys at the right price.

@KevBuschhold Dividend received from #SEQI on Friday. #NRR and #POLR already bagged. Just three dividend capture trades in my SIPP that have produced income beating my net salary for August.
Weekend review - A steady week across the portfolio with recent oilies #SQZ and #HBR now on 10%+ gains along with #POLR that broke through 900p+ #ICG made further progress and now sits at +25% when combined with the recent 3.5% divi. Took new stock #VALT on it's 4% drop on profit taking ahead of it's near 4% divi (ex divi day on 20/08/26) with the aim of collecting the 4% divi and/or the recovery back to 6800p+🧐price action nearer the time will determine if to hold for any 'double bubble'. #HLMA having hit 3800p+ retreated once again🙄but did send a small divi payment as consolation for the pull back. #ITH and other UK based oilies on the lookout for news on Rosebank and Jackdaw next week as the granting of new licences should provide a further boost to share price.
Pf has grown over past weeks from six to twelve stocks currently so still very concentrated by many standards . Have now deployed the cash reserve so under 5% cash now and currently pf+81%.

Weekend review - Another steady rise for #ICG this week following it's chunky dividend payment (59p) as it closed at 2044p (in at 1708p and brokers have 2500p+ targets) Took new stock #NTBR at 125p, for the divi hunters they don't come much better with a 6% direct payment (7.5p) upcoming and it goes ex divi on 27/08/26 and has amazingly good figures, profits, free cash etc. for a micro cap, £3m+ in cash and a @Stockopedia rank of 94/100 for quality and 96/100 for value. Having increased position in #HLMA last week at 3600p+ it was rewarded with a close on Friday at 3800p+. Oil stocks #SQZ #HBR and #ITH remained subdued as the geopolitics play out, however, all offer decent divis and huge free cash flow with the prospect of a UK boost re new drills and oil inventory shortages likely to keep oil prices elevated. A decent dividend payment (3%) arrived in the account from ex holding #N91......cash 5%....pf +81%

#POLR ⬆️✅ 902p..hit initial target (914p), letting it run, next target 960p.

#POLR update: AuM has seen a c.8.8% bounceback over the last two weeks - driven by recovery in tech. It's now down only 2% since the end of June. I've added this morning.
@steady_profits Hi James
I hold #POLR and their SP is affected by tech sell offs, based on AUM in their Tech Fund impacting management fees etc. This correlates and despite
The yield bring excellent and their next Div pays out this Friday 7th August the shares are now good value imho
I added Polar Capital #POLR to my watchlist of UK stocks this weekend because this was the standout name that kept coming up on my various stock screeners.
This specialist fund manager is trading on a seriously low valuation right now, with a forward P/E of just 7.49 for the current year, and 6.47 and 5.92 for the next two years, and pays a dividend of nearly 6%.
Indeed it looks undervalued on nearly every financial metric when you take a look at the financials below (taken from Marketscreener).
This is only my personal opinion and not financial advice, but this recent sell-off in tech and AI stocks seems to have pushed the share price of Polar Capital down to bargain levels now.

Weekend review - Bought and sold #RR in 24 hours, increased #MGNS holding twice along with adding to position in #HLMA on it's short lived rise🙄Added to #POLR too before it fell further. #MGNS now moves to largest position in pf after twice increasing holding this week following their record results and falling sp 😳A noteworthy Friday RNS stated PCA of Morgan Sindall director makes share purchase of £513,820, that's chunky, so I'm not alone in my view🧐
Bought regular trading favourite #RR at 1419p on great results Thursday morning and sold at 1506p Friday morning. Bravely or foolishly (foolishly currently) added further to #HLMA holding at 3600p as it began to rise from 3400p before it quickly reversed again🙄Got my entry wrong here and missed/over looked the gap down potential to 3300p from 4000p, a basic error🤦♂️however, gap up to 4500p+ potential is there and brokers also have a 4600p target. #POLR fell back further after taking some more at 794p after hitting 900p+ recently and now sits at 771p, it a best in class stock and brokers see 1200p potential. A very decent #ICG dividend of 59p a share arrived on Friday.

Weekend review - Record results at #MGNS saw it sp plunge even with a broker upgrade and raised target of 6200p+, #AAF trading update with growth in all areas saw it's sp dive too😳. Oilies #SQZ , #HBR and #ITH made decent gains as oil price rose, before a surprise pull back Friday. Markets often surprise and this week no exception, particularly with the stellar results from #MGNS and #AAF that saw their sp's retreat, both quality companies and fully expects the sps to respond over coming weeks.


📉 I sold out of #POLR after doubling my money because it’s heavily linked to tech stocks. If those stocks fall Polar Capital will too!

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