Frühlingsrabtatt -> 10% Rabatt! Code: "SPRING"
Ken Fisher
Ken Fisher (Fisher Asset Management, LLC): Laut dem letzten 13F-Filing (Stand 30.06.2026) umfasst das Depot 1035 Positionen mit einem Gesamtwert von $335,8 Mrd. Wertentwicklung: 1 Jahr +33,13 %, 3 Jahre +125,55 %, 5 Jahre +145,89 %.

Ken Fisher
Fisher Asset Management, LLC
Echtzeit-Einblicke & Depot-Analyse
Gesamtwert (USD) $335,8 Mrd.
Größte Position Nvidia Corporation
Letztes Update Q2 2026
Gesamtrendite · 1 Jahr +33,13 %
Gesamtrendite · 3 Jahre +125,55 %
Gesamtrendite · 5 Jahre +145,89 %
1035 Positionen
| Aktie | % Depot | Market Value $ | Shares | Q2 vs. Q1 2026 | Last Transaction | Kurs | |
|---|---|---|---|---|---|---|---|
ITTItt Inc | 0,00% | $16.717.229 | 84.532 | BUY Q2 · 2026+0,1% · 86 Stk. | ← | $208,63 | |
N/A JEPIJ P Morgan Exchange Traded F | 0,00% | $257.685 | 4.562 | SOLD Q2 · 2026-56,1% · 6 Tsd. Stk. | ← | – | |
N/A JPSTJ P Morgan Exchange Traded F | 0,00% | $217.248 | 4.295 | NEW Q2 · 20264 Tsd. Stk. | ← | – | |
N/A JEPQJ P Morgan Exchange Traded F | 0,00% | $383.327 | 6.237 | SOLD Q2 · 2026-0,5% · 32 Stk. | ← | – | |
N/A JAVAJ P Morgan Exchange Traded F | 0,00% | $346.386 | 4.362 | NEW Q2 · 20264 Tsd. Stk. | – | – | |
JBLJabil Inc | 0,00% | $301.726 | 782 | NEW Q2 · 2026782 Stk. | ← | $308,98 | |
N/A JEFJefferies Financial Group In | 0,00% | $589.458 | 11.793 | SOLD Q2 · 2026-20,4% · 3 Tsd. Stk. | ← | $47,39 | |
KBHKb Home | 0,00% | $233.648 | 3.733 | NEW Q2 · 20264 Tsd. Stk. | ← | – | |
KEYKeycorp | 0,00% | $1.894.666 | 82.198 | SOLD Q2 · 2026-1,9% · 2 Tsd. Stk. | ← | – | |
KEYSKeysight Technologies Inc | 0,00% | $358.975 | 1.025 | BUY Q2 · 2026+27,5% · 221 Stk. | ← | $347,32 | |
KMBKimberly-Clark Corp | 0,00% | $4.377.503 | 39.878 | SOLD Q2 · 2026-6,3% · 3 Tsd. Stk. | ← | – | |
KMIKinder Morgan Inc Del | 0,00% | $507.871 | 15.885 | BUY Q2 · 2026+3,1% · 478 Stk. | ← | – | |
KKRKkr & Co Inc | 0,00% | $221.386 | 2.411 | BUY Q2 · 2026+0,6% · 15 Stk. | ← | $98,44 | |
N/A KWEBKraneshares Trust | 0,00% | $969.305 | 39.612 | SOLD Q2 · 2026-26,6% · 14 Tsd. Stk. | ← | – | |
KRKroger Co | 0,00% | $905.379 | 16.304 | BUY Q2 · 2026+2,3% · 360 Stk. | ← | $58,56 | |
KRYSKrystal Biotech Inc | 0,00% | $10.286.587 | 27.676 | SOLD Q2 · 2026-0,4% · 108 Stk. | ← | $350,88 | |
KURAKura Oncology Inc | 0,00% | $6.866.520 | 625.936 | SOLD Q2 · 2026-7,3% · 49 Tsd. Stk. | ← | – | |
KYMRKymera Therapeutics Inc | 0,00% | $1.459.978 | 12.732 | NEW Q2 · 202613 Tsd. Stk. | – | – | |
LHXL3Harris Technologies Inc | 0,00% | $3.079.801 | 10.598 | BUY Q2 · 2026+26,3% · 2 Tsd. Stk. | ← | $239,89 | |
LHLabcorp Holdings Inc | 0,00% | $364.367 | 1.301 | SOLD Q2 · 2026-21,1% · 347 Stk. | ← | $311,54 | |
LVSLas Vegas Sands Corp | 0,00% | $509.536 | 11.031 | SOLD Q2 · 2026-6,2% · 723 Stk. | ← | – | |
ELLauder Estee Cos Inc | 0,00% | $2.475.422 | 31.354 | SOLD Q2 · 2026-2,4% · 772 Stk. | ← | $100,29 | |
LDOSLeidos Holdings Inc | 0,00% | $365.102 | 3.545 | SOLD Q2 · 2026-43,9% · 3 Tsd. Stk. | ← | – | |
N/A LXEOLexeo Therapeutics Inc | 0,00% | $532.168 | 114.322 | NEW Q2 · 2026114 Tsd. Stk. | – | – | |
N/A N/ALiberty Media Corp | 0,00% | $0 | 30.000 | – | BUY Q3 · 2025– · 30 Tsd. Stk. | – | |
LYVLive Nation Entertainment In | 0,00% | $403.986 | 2.206 | SOLD Q2 · 2026-25,7% · 762 Stk. | ← | $169,84 | |
LMTLockheed Martin Corp | 0,00% | $3.222.063 | 6.323 | SOLD Q2 · 2026-30,0% · 3 Tsd. Stk. | ← | $522,34 | |
N/A LXPLxp Industrial Trust | 0,00% | $15.642.625 | 290.323 | SOLD Q2 · 2026-5,9% · 18 Tsd. Stk. | ← | – | |
MTBM & T Bk Corp | 0,00% | $8.510.322 | 35.756 | SOLD Q2 · 2026-4,4% · 2 Tsd. Stk. | ← | $223,42 | |
SHOOMadden Steven Ltd | 0,00% | $12.630.038 | 300.000 | – | SOLD Q1 · 2026-8,0% · 26 Tsd. Stk. | – | |
N/A MICCMagnum Ice Cream Co Nv | 0,00% | $4.274.098 | 245.496 | SOLD Q2 · 2026-15,5% · 45 Tsd. Stk. | ← | $19,32 | |
MTWManitowoc Co Inc | 0,00% | $2.058.317 | 148.187 | – | BUY Q1 · 2026+1,4% · 2 Tsd. Stk. | – | |
MFCManulife Finl Corp | 0,00% | $258.656 | 6.385 | SOLD Q2 · 2026-13,0% · 955 Stk. | ← | – | |
MPCMarathon Pete Corp | 0,00% | $4.440.584 | 17.368 | SOLD Q2 · 2026-5,4% · 1 Tsd. Stk. | ← | $389,68 | |
N/A MKLMarkel Corp | 0,00% | $473.138 | 242 | SOLD Q2 · 2026-5,8% · 15 Stk. | ← | $1.763,36 | |
MARMarriott Intl Inc New | 0,00% | $1.178.131 | 3.179 | BUY Q2 · 2026+15,1% · 418 Stk. | ← | $348,06 | |
N/A MRSHMarsh & Mclennan Cos Inc | 0,00% | $372.810 | 2.236 | BUY Q2 · 2026+9,8% · 199 Stk. | ← | $170,01 | |
N/A MASMasco Corp | 0,00% | $254.422 | 3.126 | NEW Q2 · 20263 Tsd. Stk. | ← | $69,96 | |
MATXMatson Inc | 0,00% | $757.729 | 3.941 | NEW Q2 · 20264 Tsd. Stk. | – | – | |
MCKMckesson Corp | 0,00% | $1.724.749 | 2.282 | BUY Q2 · 2026+152,7% · 1 Tsd. Stk. | ← | $891,23 | |
MDTMedtronic Plc | 0,00% | $9.161.077 | 117.104 | SOLD Q2 · 2026-16,0% · 22 Tsd. Stk. | ← | $90,77 | |
MTHMeritage Homes Corp | 0,00% | $289.868 | 3.457 | BUY Q2 · 2026+1,1% · 36 Stk. | ← | $66,40 | |
N/A MTUSMetallus Inc | 0,00% | $1.742.094 | 93.210 | BUY Q2 · 2026+29,6% · 21 Tsd. Stk. | ← | – | |
METMetlife Inc | 0,00% | $462.963 | 5.471 | BUY Q2 · 2026+38,9% · 2 Tsd. Stk. | ← | $95,92 | |
MGMMgm Resorts International | 0,00% | $1.502.844 | 31.433 | SOLD Q2 · 2026-23,2% · 9 Tsd. Stk. | ← | $38,90 | |
MCHPMicrochip Technology Inc. | 0,00% | $308.856 | 3.386 | SOLD Q2 · 2026-14,9% · 593 Stk. | ← | $75,82 | |
MDXGMimedx Group Inc | 0,00% | $946.172 | 245.759 | SOLD Q2 · 2026-0,3% · 810 Stk. | ← | – | |
MIRMMirum Pharmaceuticals Inc | 0,00% | $9.655.464 | 82.476 | SOLD Q2 · 2026-11,4% · 11 Tsd. Stk. | ← | $92,00 | |
MFGMizuho Financial Group Inc | 0,00% | $3.089.410 | 322.485 | BUY Q2 · 2026+15,3% · 43 Tsd. Stk. | ← | – | |
MRNAModerna Inc | 0,00% | $760.172 | 10.854 | NEW Q2 · 202611 Tsd. Stk. | ← | – |


