NASDAQ : WTW

Willis Towers Watson Public Limited Company — Institutional Ownership

$286.51 USD

-$2.31 (-0.8%)

Volume
474.51K
Average Volume
755.99K
Market Capitalization
$27.06B
P/E Ratio
16.64
Dividend Yield
1.31%
Price Target
$342.00
Year High
$352.79
Year Low
$240.61
Day High
Day Low
Payout Ratio
$0.21
Current Ratio
$1.19
Institutional Ownership Summary
Institutional Ownership %

1.01%

Investors Holding

115

change: -616 | last: 731
Increased Positions

39

change: -296 | last: 335
Reduced Positions

50

change: -230 | last: 280
New Positions

10

change: -88 | last: 98
Sold Positions

616

change: 489 | last: 127
Total Calls

-

Total Puts

-

Put-Call Ratio

0.00

change: -49.2777 | last: 0.4928
Total Invested

248.72M

Beneficial Ownership Filings
Filing Date Reporting Person Amount Beneficially Owned % of Class
2026-04-28 Vanguard Capital Management 7.11M 7.54%
2026-03-26 The Vanguard Group - 0.00%
2026-02-17 HARRIS ASSOCIATES L P 5.61M 5.90%
2026-02-13 Dodge & Cox 6.93M 7.20%
2025-04-23 BlackRock, Inc. 7.6M 7.60%
2025-02-13 Massachusetts Financial Services Company 6.48M 6.40%
2025-02-12 First Eagle Investment Management, LLC 4.46M 4.40%
2024-02-08 First Eagle Investment Management, LLC 5.57M 5.39%
2023-02-10 Artisan Partners Asset Management Inc. 6.47M 6.00%
2023-02-10 Artisan Partners Holdings LP 6.47M 6.00%
2023-02-10 Artisan Investments GP LLC 6.47M 6.00%
2023-02-10 Artisan Partners Limited Partnership 6.47M 6.00%
2023-02-08 04-2747644 6.12M 5.70%
2022-02-10 The Vanguard Group - 23-1945930 13.36M 10.72%
2022-02-03 (1)Names of reporting persons. BlackRock, Inc. 10.89M 8.70%
2021-02-16 52-0556948 3.55M 2.70%
2021-02-16 Longview Partners (UK) Limited 4.33M 3.35%
2021-02-16 Longview Partners (Guernsey) Limited 4.33M 3.35%
2021-02-16 Longview Partners LLP 4.33M 3.35%
2021-02-10 The Vanguard Group - 23-1945930 13.51M 10.48%
2020-08-10 52-0556948 9.96M 7.70%
2020-02-14 52-0556948 16.52M 12.80%
2020-02-11 Longview Partners (UK) Limited 6.66M 5.18%
2020-02-11 Longview Partners LLP 6.66M 5.18%
2020-02-12 The Vanguard Group - 23-1945930 14.26M 11.08%
2020-02-11 Longview Partners (Guernsey) Limited 6.66M 5.18%
2019-02-14 52-0556948 16.35M 12.50%
2019-02-14 04-3276549 4.82M 3.70%
2019-02-14 04-3276558 4.82M 3.70%
2019-02-06 MetLife, Inc. 313.86M 94.70%
2018-02-14 04-3276558 10.28M 7.80%
2018-02-14 04-3276549 10.28M 7.80%
2018-02-14 52-0556948 15.88M 12.00%
2017-02-10 BLUM CAPITAL PARTNERS, L.P. 14.72M 4.50%
2017-02-07 Tax ID # 57-1156902 3.52M 2.58%
2017-02-07 52-0556948 15.57M 11.00%
2016-05-09 04-3276549 4.89M 3.50%
2016-05-09 04-3276558 4.89M 3.50%
2016-02-10 04-3276558 15.65M 8.70%
2016-02-10 04-3276549 15.65M 8.70%
2016-02-05 Tax ID # 57-1156902 9.4M 5.21%
2015-02-11 04-3276558 20.21M 11.40%
2015-02-11 04-3276549 20.21M 11.40%
2014-05-06 04-3276549 20.59M 11.50%
2014-05-06 04-3276558 20.59M 11.50%
2014-02-13 04-3276549 17.61M 9.90%
2014-02-13 04-3276558 17.61M 9.90%
2014-02-13 BLUM CAPITAL PARTNERS, L.P. 3.99M 17.10%
2013-02-12 T. ROWE PRICE ASSOCIATES, INC. 14.68M 8.40%
2013-02-11 04-3276549 11.18M 6.50%
2013-02-11 04-3276558 11.18M 6.50%
2010-02-16 Transocean Inc. 11.16M 19.97%
2009-10-13 FMR LLC 438.3K 0.26%
2009-10-13 Edward C. Johnson 3d 438.3K 0.26%
2009-06-11 Neuberger Berman Equity Funds 3.32M 1.99%
2009-06-11 Neuberger Berman Group LLC 14.34M 8.57%
2009-06-11 Neuberger Berman LLC 14.34M 8.57%
2009-06-11 Neuberger Berman Management LLC 3.42M 2.05%
2009-02-17 Edward C. Johnson 3d 9.44M 5.67%
2009-02-17 FMR LLC 9.44M 5.67%
2009-02-13 Neuberger Berman, LLC 8.51M 5.12%
2009-02-13 Neuberger Berman Management LLC 2.87M 1.73%
2009-02-13 Neuberger Berman Inc. 8.51M 5.12%
2008-06-19 GLENVIEW CAPITAL MANAGEMENT, LLC 8.18M 5.79%
2008-06-19 LAWRENCE M. ROBBINS 8.18M 5.79%
2008-02-14 FMR LLC 13.74M 9.62%
2008-02-14 Edward C. Johnson 3d 13.74M 9.62%
2007-02-14 Edward C. Johnson 3d 15.66M 9.96%
2007-02-14 FMR Corp. 15.66M 9.96%
2007-02-01 84-1168465 4.96M 3.20%
2007-02-01 Janus Capital Management LLC 7.56M 4.80%
2006-03-07 135521910 4.38M 2.78%
2006-03-07 061523639 4.38M 2.78%
2006-02-14 84-1168465 8.87M 5.60%
2006-02-14 Janus Capital Management LLC 15.25M 9.70%
2005-02-14 Franklin Resources, Inc. (13-2670991) 9.72M 6.20%
2004-02-09 13-5521910 8.2M 5.31%
2004-01-14 KKR 1996 OVERSEAS, LIMITED 35.54M 23.38%
2004-01-14 KKR ASSOCIATES 1996 FUND (OVERSEAS), LIMITED PARTNERSHIP 35.54M 23.38%
2004-01-14 PROFIT SHARING (OVERSEAS), LIMITED PARTNERSHIP 35.54M 23.38%
2004-01-14 KKR ASSOCIATES II (1996), LIMITED PARTNERSHIP 35.54M 23.38%
2002-02-14 KKR 1996 OVERSEAS, LIMITED 77.75M 52.90%
2002-02-14 PROFIT SHARING (OVERSEAS), LIMITED PARTNERSHIP 77.75M 52.90%
2002-02-14 KKR ASSOCIATES 1996 FUND (OVERSEAS), LIMITED PARTNERSHIP 77.75M 52.90%
2002-02-14 KKR ASSOCIATES II (1996), LIMITED PARTNERSHIP 77.75M 52.90%
WTW Enterprise Value History
Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2025-12-31 $328.60 98M $32.2B $3.13B $6.9B $35.98B
2024-12-31 $313.24 102M $31.95B $1.89B $5.93B $35.99B
2023-12-31 $241.20 105M $25.33B $1.42B $5.94B $29.84B
2022-12-31 $244.58 112M $27.39B $1.26B $5.48B $31.61B
2021-12-31 $237.49 128M $30.4B $4.49B $5.49B $31.4B
2020-12-31 $210.68 130M $27.39B $2.04B $6.72B $32.07B
2019-12-31 $201.94 130M $26.25B $887M $6.77B $32.13B
2018-12-31 $151.86 131M $19.89B $1.03B $4.72B $23.58B
2017-12-31 $150.69 135M $20.34B $1.03B $4.7B $24.01B
2016-12-31 $122.28 137M $16.75B $870M $4B $19.88B
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-03-31 $290.70 95.19M $27.67B $1.86B $6.91B $32.72B
2025-12-31 $328.60 96M $31.55B $3.13B $6.9B $35.32B
2025-09-30 $345.45 99M $34.2B $1.9B $5.91B $38.22B
2025-06-30 $306.50 100M $30.65B $1.96B $5.94B $34.62B
2025-03-31 $337.95 100M $33.8B $1.51B $5.93B $38.22B
2024-12-31 $313.24 101M $31.64B $1.89B $5.93B $35.68B
2024-09-30 $294.53 102M $30.04B $1.37B $5.99B $34.66B
2024-06-30 $259.42 103M $26.72B $1.25B $5.99B $31.47B
2024-03-31 $273.44 103M $28.16B $1.89B $6.65B $32.92B
2023-12-31 $241.20 103M $24.84B $1.42B $5.94B $29.36B
2023-09-30 $208.96 105M $21.94B $1.25B $5.91B $26.6B
2023-06-30 $235.50 107M $25.2B $1.6B $6.19B $29.79B