Ken Fisher

Ken Fisher

13F
Fisher Asset Management, LLC
Last update 2024-11-13 920 Stocks (54 new)
Value $244.02 Bil Turnover 4 %
Countries:
Portfolio Report

Ken Fisher Profile

Ken Fisher is the Chief Executive Officer and Chief Investment Officer of Fisher Investments. He has been writing Forbes' prestigious "Portfolio Strategy" column for over two decades, making him one of the longest running columnists in the magazine's 85+ year history. During his many years of money management and market commentary, Ken has distinguished himself by making numerous, accurate market calls, often in direct opposition to Wall Street's consensus forecast. He is the son of legendary investor Philip A. Fisher, and Ken is the only industry professional his father ever trained. Ken has also written three major finance books, including the 1984 Dow Jones best-seller, Super Stocks, and has been published and/or interviewed in many major global finance and business periodicals.

Ken Fisher Investing Philosophy

The investment philosophy at Fisher Investments is based on the idea that supply and demand of securities is sole determinate of their pricing. Furthermore, they believe that all widely known information has already been priced into the market. The way to add value, according to the Fisher strategy, is to "identify information not widely known, or to interpret widely known information differently and correctly from other market participants." Fisher Investments employs a team of research analysts to accomplish these tasks.

Ken Fisher's Portfolio

Ken Fisher Current Holdings

Add To Portfolio
Ticker
Company
Shares
Value ($1000)
Shares Change %
Weighting %
Trade Impact %
% of Shares outstanding
3M Change %
YTD Change %
Market Cap $Mil
Industry
WRB
WR Berkley Corp
3,585
203.38
New Holding
0
0%
0
+4.28%
+26.98%
22300.168
Insurance
STWD
Starwood Property Trust Inc
34,882
710.91
New Holding
0
0%
0.01
-5.74%
-1.72%
6473.463
REITs
HEI.A
Heico Corp
1,726
351.7
New Holding
0
0%
0
-7.83%
+32.03%
28838.226
Aerospace & Defense
TRGP
Targa Resources Corp
2,150
318.32
New Holding
0
0%
0
+20.83%
+109.57%
38762.949
Oil & Gas
UMI
USCF Midstream Energy Income Fund ETF
4,871
218.5
New Holding
0
0%
0.07
+11.30%
+41.87%
362.706
 
XLRE
Real Estate Select Sector SPDR Fund (The)
4,928
220.17
New Holding
0
0%
0
-8.93%
+4.01%
6942.218
 
CGBD
Carlyle Secured Lending Inc
22,261
377.77
New Holding
0
0%
0.04
+7.60%
+32.63%
929.549
Asset Management
PWR
Quanta Services Inc
706
210.54
New Holding
0
0%
0
+7.12%
+48.10%
47085.145
Construction
WH
Wyndham Hotels & Resorts Inc
3,489
272.63
New Holding
0
0%
0
+29.54%
+27.78%
7827.941
Travel & Leisure
AIG
American International Group Inc
3,974
291.09
New Holding
0
0%
0
-0.12%
+9.66%
45254.471
Insurance
RC
Ready Capital Corp
15,213
116.08
New Holding
0
0%
0.01
-10.09%
-25.84%
1157.803
REITs
INVX
Innovex International Inc
294,694
4326.11
New Holding
0
0%
0.44
-5.76%
0%
928.653
Oil & Gas
SUN
Sunoco LP
4,987
267.7
New Holding
0
0%
0
-3.73%
-9.68%
6926.564
Oil & Gas
RING
iShares MSCI Global Gold Miners ETF
7,430
245.26
New Holding
0
0%
0.03
-14.68%
+15.36%
796.012
 
ALUR
Allurion Technologies Inc
34,244
20.99
New Holding
0
0%
0.05
-25.22%
-87.74%
29.474
Medical Devices & Instruments
LUV
Southwest Airlines Co
7,852
232.66
New Holding
0
0%
0
+13.84%
+18.88%
20127.18
Transportation
VOD
Vodafone Group PLC
17,064
170.99
New Holding
0
0%
0
-13.60%
+4.81%
21505.69
Telecommunication Services
APO
Apollo Global Management Inc
1,721
214.99
New Holding
0
0%
0
+34.13%
+81.95%
94214.1
Asset Management
DSL
DoubleLine Income Solutions Fund
10,258
133.15
New Holding
0
0%
0.01
-1.72%
+12.74%
1372.711
Asset Management
IEI
iShares 3-7 Year Treasury Bond ETF
2,203
263.54
New Holding
0
0%
0
-2.34%
+1.81%
14500.56
 
100/Page
Total 1040

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