Tracking Ken Fisher’s Fisher Asset Management Portfolio in Q3 2024

Fisher Asset Management Portfolio Overview
The Fisher Asset Management portfolio has recently exhibited a remarkable increase in its value, now standing at $244 billion. This growth highlights the effectiveness of Ken Fisher’s investment strategies.
Top Holdings Breakdown
- Apple: Continues to dominate the portfolio with innovative technology.
- Microsoft: A leading player in the software industry.
- Nvidia: Strong growth in AI and gaming sectors.
- Amazon: E-commerce giant poised for long-term growth.
- Alphabet: Diversified revenue streams through advertising and cloud services.
Investment Strategies and Future Outlook
Ken Fisher’s approach emphasizes investing in high-quality companies that demonstrate consistent growth and innovation. As we move forward, this strategy is likely to adapt to shifting market trends.
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.