The Fisher group’s philosophy is based on a fundamental belief in capitalism and subsequently how free capital markets function. They start with the simple notion that supply and demand of securities are the sole determinants of securities pricing. Correspondingly, the Fisher group believes capital markets are highly effective discounters of all widely known information. Therefore, to add value through active management, one must identify information not widely known or interpret widely known information differently and correctly from other market participants. The Fisher group applies proprietary capital markets technology to seek out and process opportunities to exploit such information. Their capital markets technology is developed through the study of finance theory, history and empiricism.
Fisher Investments Europe manages a variety of global, global ex-US and US equity strategies for institutional investors. These strategies leverage both its top-down macroeconomic research as well as its fundamental stock selection process.
Fisher’s global strategies seek to exploit the structure of global markets and capitalise on country, sector and industry cycles as they come in and out of favour.Learn More
Fisher’s global ex-US strategies seek to exploit the structure of global markets and capitalise on country, sector and industry cycles as they come in and out of favour.Learn More
Fisher’s US equity strategies utilise both top-down and combined investment processes to attempt to capitalise on style and sector cycles as they come in and out of favour, and to discover securities most likely to generate the highest expected returns.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.