Ken Fisher’s Fisher Asset Management Portfolio – Q2 2022 Update
Ken Fisher’s 13F portfolio value decreased from ~$165B to ~$141B in Q2. Johnson Johnson and Capital One Financial were increased while reducing Eli Lilly and Novo Nordisk this quarter.
Ken Fisher’s Fisher Asset Management Portfolio – Q2 2022 Update
Ken Fisher’s 13F portfolio value decreased from ~$165B to ~$141B in Q2. Johnson Johnson and Capital One Financial were increased while reducing Eli Lilly and Novo Nordisk this quarter.