Alliance Entertainment (AENT) reported fiscal 2026 net revenue of $1.149 billion, up 8% from $1.063 billion in fiscal 2025. GAAP net income was $13.1 million, or $0.26 per diluted share, compared with $15.1 million, or $0.30 per diluted share, a year earlier.
Gross profit rose 15% to $152.3 million and gross margin expanded 80 basis points to 13.3%. The fiscal year ended June 30, 2026.
- Vinyl revenue increased 13% to $383 million, while CD revenue rose 25% to $156 million.
- Physical movie revenue increased 22% to $339 million.
- Collectibles revenue grew 45% to $32 million.
- Distribution and fulfillment fee revenue increased 26% to $18.6 million.
- Adjusted EBITDA, a non-GAAP measure, increased 14% to $41.5 million.
- The company ended the year with $45.7 million available under its $120 million revolving credit facility.
$AENTW Hedge Fund Activity
We have seen 3 institutional investors add shares of $AENTW stock to their portfolio, and 3 decrease their positions in their most recent quarter.
Here are some of the largest recent moves:
- SKYVIEW INVESTMENT ADVISORS, LLC removed 72,031 shares (-100.0%) from their portfolio in Q1 2026, for an estimated $43,225
- SHAOLIN CAPITAL MANAGEMENT LLC removed 48,100 shares (-100.0%) from their portfolio in Q1 2026, for an estimated $28,864
- VIRTU FINANCIAL LLC added 20,857 shares (+inf%) to their portfolio in Q2 2026, for an estimated $8,978
- TWO SIGMA SECURITIES, LLC removed 17,262 shares (-100.0%) from their portfolio in Q1 2026, for an estimated $10,358
- WOLVERINE ASSET MANAGEMENT LLC added 5,332 shares (+2.9%) to their portfolio in Q2 2026, for an estimated $2,295
- UBS GROUP AG added 2,275 shares (+inf%) to their portfolio in Q2 2026, for an estimated $979
- MMCAP INTERNATIONAL INC. SPC added 0 shares (+0.0%) to their portfolio in Q2 2026, for an estimated $0
To track hedge funds' stock portfolios, check out Quiver Quantitative's institutional holdings dashboard. You can access data on hedge funds moves and 13F filings through the Quiver Quantitative API 13F endpoint.