
Investors' Chronicle Navigating the Strait, Goodwin and annuities: The Companies and Markets Show
Mar 27, 2026
Holly McKechnie, pensions expert, outlines annuity basics and practical choices for retirees. Alex Newman, markets commentator, analyses Goodwin plc’s trading shock and investor communications. Alex Hamer, energy analyst, explores Strait of Hormuz risks and effects on oil, gas, fertiliser and related markets. The conversation covers market reaction, supply-chain pressures and retirement trade-offs.
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Goodwin's Rise From £65 To £370 Then Sudden Crash
- Goodwin is a family-run engineer from Stoke with niche high-margin products across defence, petrochemicals and nuclear markets.
- Alex Newman recounts its dramatic rerating: £65 a year ago to nearly £370 pre-war before Monday's collapse.
Communication And Dividend Uncertainty Triggered The Selloff
- The trading update combined small Middle East order delays, lost tenders, and a cautious dividend reassessment that sowed uncertainty.
- Alex Newman says vagueness about dividends and kitchen-sink disclosures raised more questions than answers.
Heavy Family Ownership Left Goodwin Vulnerable To Panic Selling
- Goodwin's shareholder base (60% family, ~5% funds, rest retail) left it vulnerable to a retail-driven rush for the exits.
- Alex Newman highlights thin institutional support and an absence of market-makers to catch the sell pressure.
