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Showing posts with label Fisher Asset Management. Show all posts
Showing posts with label Fisher Asset Management. Show all posts

25 Years Of Ken Fisher - Forbes Reviews The Making Of The Market Guru


Ken Fisher is founder and CEO of Fisher Investments, an independent money management firm managing over $35 billion (as of Dec. 31/09) for individuals and institutions. And, Fisher has written the monthly "Portfolio Strategy" column for Forbes magazine for the last twenty-five years—since 1984—making him, so far, the fourth longest-running columnist in the magazine’s history. During this time, he’s seen everything from the stock market crash of 1987 and the great bull markets of the 1980s and 1990s to the Tech bubble of 2000 and the global market meltdown of 2008.

Now, with The Making of a Market Guru, you’ll gain an insightful look at Fisher’s prolific career over the years and discover the high-profile market calls he’s made so far in these monthly columns. At times engaging and timely, at others revealing and informative, this book is a sweeping look at a recent and eventful slice of stock market history. You’ll read about what’s changed, but you’ll be more amazed by what hasn’t. And you’ll see investing wisdom that still applies, now and for the foreseeable future, from a quarter-century of Fisher’s concise and witty market wisdom.

Preceding Fisher’s columns for each year are a few pages of commentary—putting them in historic context, pointing out areas that are still salient, and others where Fisher’s perspective has changed over the years—highlighting key points that deserve extra attention.

Chapter by chapter, this book offers practical investment advice from a leading market voice, while:
  • Looking at Fisher’s market analysis over the years and providing an industry insider’s view of major, and not-so-major, market events
  • Examining how Fisher called three of the last four bear markets
  • Showing that what many commonly think impacts markets doesn’t—and some very surprising things that do impact markets that few are aware of.
  • And much more
The more things change, the more they stay the same—at least when it comes to investing. And seeing history through the eyes of a market guru can help improve your overall investment endeavors today. If you take the time to read this unique, historic compilation, you’ll be taking your first steps to understanding how to become your own market guru.

Ken Fisher's Biggest Dividend Stock Buys And His Latest Asset Allocation

The largest dividend stocks buys from Ken Fisher as of Q1/2013 originally published at "long-term-investments.blogspot.com". 

Ken Fisher is an investment analyst and founder, chairman and CEO of Fisher Investments. In his asset management company he serves around USD 37.63 billion. His portfolio invested money on 474 companies; 48 of his stock holdings are completely new.

Ken has big investments within the technology sector but financial shares and consumer stocks are also very important for his asset allocation. His latest portfolio transactions show that he strengthen his technology and commodity side. He bought Cisco and Apple for the tech side and BASF, RIO Tinto, Vale and BP for his commodity bets.

Below is a list of his latest and biggest dividend stock buys as well as his most important portfolio positions.

16 of his 20 top buys from the recent quarter pay dividends and 13 are currently recommended to buy. He's a real large cap investor but has also some smaller companies. Summarized: Fisher has a very diversified portfolio.

Ken Fisher’s Top 30 Investment Portfolio Q3/2012

Originally published at “long-term-investments.blogspot.com”. Kenneth Fisher is an American businessman, founder and chairman as well as CEO of Fisher Investments, a money management firm headquartered in California. Fisher writes the monthly “Portfolio Strategy” column in Forbes magazine. Ken Fisher is one of the richest Americans and part of the Forbes 400 list of world billionaires. Funds run by Ken Fisher at Fisher Asset Management were valued at USD 34.91 billion.

Here is a top 30 list of his investment positions as of September 30, 2012. During the quarter Q3/2012, Ken Fisher had 458 total positions.

Top New Buys: CMCSA, PBR, TM, RY, NVS, VOD, CHL, NTGR, SAM, WRC