London Skyline

View Our Latest Commentary

Macro Minutes: Energy Outlook: Plenty of Fuel Left
How do we expect Energy to perform through the remainder of the year?
Watch Now ►
Global Market Review & Outlook Q2 2024
Inside, you will find a summary of market activity and our market outlook.
Read Now ►
ESG Insights H1 2024
Learn about the latest trends in ESG investing.
Read Now ►


Fisher Investments' Process

Fisher Investments' unique top-down portfolio management process sets us apart from other investment management firms in that its focus is on macro decisions at the country and sector/industry level. Fisher Investments believes its process is uniquely suited for managing portfolios, in contrast with more "bottom-up" approaches of many competitors who may leave key sector or country decisions as passive residuals.

Learn More

ESG Process

ESG Investing

Fisher Investments considers environmental, social and governance issues in the investment and portfolio construction process. Further, Fisher Investments regularly screens and tailors its investment approach for separately managed accounts depending on any particular social and environmental guideline mandated by the client.

Learn More

Investing in financial markets involves the risk of loss and there is no guarantee that all or any capital invested will be repaid. Past performance neither guarantees nor reliably indicates future performance. The value of investments and the income from them will fluctuate with world financial markets and international currency exchange rates.

Fisher Investments Ireland Limited, trading as Fisher Investments Europe, is authorised and regulated by the Central Bank of Ireland (CBI), and is wholly owned by Fisher Asset Management, LLC, trading as Fisher Investments (FI). Fisher Investments Europe delegates portfolio management to its parent company, FI.