Fisher Asset Management Portfolio: Q2 2024 Insights

Sunday, 18 August 2024, 17:16

Tracking Fisher Asset Management's portfolio in Q2 2024 reveals significant changes and performances. Key highlights include an increased portfolio value and strategic movements in top positions like Microsoft and Apple. Investors should take note of these pivotal shifts as they indicate market sentiments.
Seeking Alpha
Fisher Asset Management Portfolio: Q2 2024 Insights

Fisher Asset Management's Portfolio Performance

In the latest quarter, Ken Fisher's firm has reported an increase in its 13F portfolio value. This notable rise emphasizes the effectiveness of Fisher's investment strategies. Key positions, particularly in Microsoft and Apple, showcase strategic investments that could influence market trends.

Top Stock Positions in Q2 2024

  • Microsoft - Explosive growth driven by cloud services
  • Apple - Strengthened by innovation and loyal customer base
  • Other Notable Investments

Investment Strategy Changes

Fisher has exhibited strategic adaptations in response to market dynamics, enhancing his portfolio's resilience.


This article was prepared using information from open sources in accordance with the principles of Ethical Policy. The editorial team is not responsible for absolute accuracy, as it relies on data from the sources referenced.


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