Fisher Top Down Macro ESG Insights

Fisher Investments (FI) utilizes a unique combination of top down and bottom up investment process where ESG risks and opportunities are regularly evaluated to determine potential impact on portfolio macro themes, country/sector allocation, and stock selection.

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Investing in financial markets involves a risk of loss and there is no guarantee that all or any invested capital 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.