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Home > Fisher Investments Strategy

Fisher Investment Strategy & Philosophy

For more on Fisher Investments strategies, please continue reading. Fisher Investments supervises discretionary assets with a deep-rooted confidence in capitalism and free markets.

In developing Fisher Investments strategy, we commence with the simple concept that supply and demand of securities are the only determinants of securities pricing. Additionally, we deem capital markets relatively efficient discounters of widely known information. Thus, our belief is for Fisher Investments strategy to add value with active management, we have to discover information not widely known or interpret widely known information in a different way (and a correct way) from other market participants. Along with active management, we use capital markets technology to offer unique analysis on market events to our clients and to differentiate ourselves from others in the market. These concepts are core to Fisher Investments strategy and have proved successful for the firm for more than 20 years.