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2024-01-21 09:00:00 ET Summary ClearBridge is a leading global asset manager committed to active management. Research-based stock selection guides our investment approach, with our strategies reflecting the highest-conviction ideas of our portfolio managers. Global growth equities...
2024-01-13 12:05:00 ET Summary ClearBridge is a leading global asset manager committed to active management. Research-based stock selection guides our investment approach, with our strategies reflecting the highest-conviction ideas of our portfolio managers. International growth e...
2023-05-14 05:27:45 ET Summary Robotics and AI are not just buzzwords companies use to attract investors' attention. This fund has a unique approach compared to other robotics funds because it invests directly into robotics companies, which means it invests heavily in Japan. T...
Summary Fisher’s 13F portfolio value decreased from ~$141B to ~$133B in Q3 2022. They added Charles Schwab and increased Nvidia, Morgan Stanley, and Goldman Sachs while decreasing Salesforce, Visa, Alibaba Group Holdings, Novartis, Verizon, and Tencent Holdings. The top...
Fisher’s 13F portfolio value decreased from ~$165B to ~$141B in Q2 2022. Johnson & Johnson and Capital One Financial were increased while reducing Eli Lilly and Novo Nordisk this quarter. The top three positions are Apple, Microsoft, and Amazon. They add up to ~15% of t...
Fisher's 13F portfolio value decreased from ~$179B to ~$165B in Q1 2022. Nvidia, Intuit, Broadcom, Verizon, Uber, AMD, & Meta Platforms were increased while reducing Intel, Walmart, Walt Disney, Cisco, UnitedHealth, Starbucks & Visa this quarter. The top three positions ar...
Fisher’s 13F portfolio value increased from ~$161B to ~$179B in Q4 2021. Amazon, Netflix, Meta Platforms, and PayPal Holdings were increased while reducing Visa, Cisco Systems, Walt Disney, Intel, Wal-Mart, UnitedHealth, and Starbucks this quarter. The top three positions a...
Fisher’s 13F portfolio value increased from ~$159B to ~$161B in Q3 2021. Advanced Micro Devices, Facebook, and Lam Research were increased while reducing Visa this quarter. The top three positions are Apple, Microsoft, and Amazon. They add up to ~14% of the portfolio. ...
Fisher’s 13F portfolio value increased from ~$142B to ~$159B in Q2 2021. The Vanguard Intermediate-Term Corporate Bond ETF stake was increased substantially this quarter. The top three positions are Apple, Microsoft, and Amazon. They add up to ~14% of the portfolio. F...
SMC has a strong track record of high returns, predictable free cash flow generation and increasing global market share. New president Takada has announced a self-funded investment plan to effectively double market share over the next five years. The shares should trade at a premi...
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New York City, NY: April 16, 2020 – Published via (Wired Release) – Recent Research and Future Market Potential of Cable Modem Equipment Market in Global Industry: 2020 Research and New Innovations in Technology and Media Sector. The prime objective of the report is to offer upda...
New York City, NY: April 16, 2020 – Published via (Wired Release) – Recent Research and Future Market Potential of Cable Cylinders Market in Global Industry: 2020 Research and New Innovations in Machines Sector. The prime objective of the report is to offer updates and informatio...
New York City, NY: April 16, 2020 – Published via (Wired Release) – Recent Research and Future Market Potential of Deformed Steel Bar Market in Global Industry: 2020 Research and New Innovations in Chemicals and Materials Sector. The prime objective of the report is to offer upda...