NXPI - Tracking Ken Fisher's Fisher Asset Management Portfolio - Q1 2021 Update
- Fisher’s 13F portfolio value increased from ~$133.5B to ~$142B in Q1 2021.
- They increased Walt Disney and Eli Lilly while trimming Taiwan Semi, JD.com, and Pinduoduo.
- Fisher has a number of small positions in several ETFs/ETNs.
For further details see:
Tracking Ken Fisher's Fisher Asset Management Portfolio - Q1 2021 Update