HolderBook

Fisher Funds Management LTD

Reported holdings as of Q2 2026, from 7 quarterly filings.

CIK
1435028
Reported value
$3.5B
Positions
174
Top 10 weight
31.9%
Filed
2026-07-14
Days after quarter end
14

Holdings

SecurityTickerValue SharesWeightWeight change Held Change
MICROSOFT CORPMSFT$210.7M564,7675.99%+0.27pp7q+7.1%+$14.0M
NVIDIA CORPORATIONNVDA$164.8M823,8414.69%+1.77pp7q+44.6%+$50.8M
AMAZON COM INCAMZN$142.4M597,3934.05%-0.19pp7q-13.9%-$23.0M
ALPHABET INCGOOGL$135.1M377,9353.84%+0.76pp7q+3.5%+$4.6M
META PLATFORMS INCMETA$100.8M179,0342.87%-0.18pp7q-1.5%-$1.6M
APPLE INCAAPL$92.1M318,2862.62%+0.68pp7q+22.2%+$16.7M
MASTERCARD INCORPORATEDMA$90.2M175,5632.56%-0.30pp7q-10.3%-$10.3M
FLOOR & DECOR HLDGS INCFND$63.5M1,069,4751.80%+0.19pp7q-1.6%-$1.0M
BROADCOM INCAVGO$62.9M166,6101.79%+0.11pp7q-9.7%-$6.8M
MERCADOLIBRE INCMELI$61.1M35,9901.74%-0.06pp3q+1.5%+$880.9K
DEXCOM INCDXCM$56.6M840,9501.61%-0.07pp7q-7.6%-$4.7M
DANAHER CORP DELDHR$55.6M292,0661.58%-0.41pp7q-18.6%-$12.7M
ASML HLDG NVASML$51.3M25,7771.46%+0.99pp7q+112.7%+$27.2M
NEXTERA ENERGY INCNEE$51.2M582,8841.45%-0.13pp5qHELD
JPMORGAN CHASE & COJPM$49.7M151,9531.41%+0.10pp7qHELD
UBER TECHNOLOGIES INCUBER$49.6M687,7421.41%-0.25pp3q-12.7%-$7.2M
NETFLIX INCNFLX$49.6M694,5231.41%-0.92pp7q-15.9%-$9.4M
INTUITIVE SURGICAL INCISRG$47.1M118,3591.34%-0.58pp7q-16.7%-$9.5M
MICRON TECHNOLOGY INCMU$46.9M40,6291.33%+0.75pp7q-30.7%-$20.8M
MSCI INCMSCI$46.6M83,1481.32%-0.40pp7q-23.8%-$14.6M
WILLIAMS COS INCWMB$46.4M624,0651.32%+0.61pp7q+87.3%+$21.6M
BOSTON SCIENTIFIC CORPBSX$43.0M1,007,8641.22%-0.36pp7q+17.1%+$6.3M
GALLAGHER ARTHUR J & COAJG$41.6M181,0061.18%-0.13pp7q-12.6%-$6.0M
VISA INCV$40.7M118,5111.16%+0.93pp7q+359.4%+$31.8M
EDWARDS LIFESCIENCES CORPEW$36.0M397,6461.02%-0.20pp7q-23.5%-$11.0M
ZOETIS INCZTS$35.3M491,0511.00%-0.70pp7qHELD
OLD DOMINION FREIGHT LINE INODFL$34.7M160,1000.99%-0.59pp4q-41.7%-$24.8M
EQUIFAX INCEFX$34.0M214,4360.97%-0.23pp3q-5.4%-$1.9M
PROGRESSIVE CORPPGR$33.6M153,6540.95%-0.08pp7q-13.8%-$5.4M
CMS ENERGY CORPCMS$32.8M429,1930.93%-0.26pp7q-18.4%-$7.4M
HUMANA INCHUM$32.8M82,6030.93%+0.39pp7q-22.6%-$9.6M
AMERICAN EXPRESS COAXP$32.6M96,3440.93%+0.18pp3q+14.2%+$4.0M
FERGUSON ENTERPRISES INCFERG$32.0M134,9390.91%-0.09pp7q-8.2%-$2.9M
TAIWAN SEMICONDUCTOR MANUFACTSM$31.5M65,9780.90%+0.65pp2q+160.7%+$19.4M
TRADEWEB MKTS INCTW$30.0M300,5740.85%-0.20pp5q-1.1%-$321.4K
KKR & CO INCKKR$29.9M325,9850.85%-0.31pp7q-23.7%-$9.3M
APPLIED MATLS INCAMAT$29.4M40,7170.84%+0.02pp7q-49.8%-$29.2M
S&P GLOBAL INCSPGI$29.2M71,5880.83%+0.72pp7q+726.0%+$25.6M
KINDER MORGAN INC DELKMI$28.7M896,6970.82%-0.46pp7q-30.9%-$12.8M
JOHNSON & JOHNSONJNJ$28.0M110,0890.79%-0.09pp7q-10.7%-$3.4M
INTEL CORPINTC$27.1M193,9710.77%+0.38pp7q-36.3%-$15.5M
BERKSHIRE HATHAWAY INC DELBRKB$27.0M54,0370.77%+0.01pp7qHELD
AMERICAN TOWER CORPAMT$27.0M164,8980.77%-0.29pp7q-21.3%-$7.3M
CISCO SYS INCCSCO$26.6M226,6340.76%+0.01pp7q-31.0%-$12.0M
CAPITAL ONE FINL CORPCOF$26.1M130,1920.74%+0.20pp4q+28.5%+$5.8M
ICON PUB LTD COICLR$26.0M149,7260.74%+0.17pp7q-14.1%-$4.3M
ABBVIE INCABBV$25.1M99,7400.71%+0.04pp7q-5.5%-$1.5M
CANADIAN PACIFIC KANSAS CITYCP$24.7M285,2880.70%+0.05pp7qHELD
EQUINIX INCEQIX$24.0M23,0710.68%+0.02pp7qHELD
WARNER BROS DISCOVERY INCWBD$24.0M899,9320.68%+0.12pp7q+29.5%+$5.5M
VISTRA CORPVST$23.9M150,9630.68%+0.06pp4q+7.8%+$1.7M
ALPHABET INCGOOG$23.1M65,3280.66%+0.11pp7qHELD
GRUPO AEROPORTUNARIO DEL PACPAC$21.4M84,4120.61%-0.11pp3q-15.1%-$3.8M
SALESFORCE INCCRM$21.0M133,9040.60%-0.14pp7qHELD
TARGA RES CORPTRGP$20.1M75,0070.57%-newNEW
MERCK & CO INCMRK$19.4M151,1320.55%+0.02pp7qHELD
UNITEDHEALTH GROUP INCUNH$19.1M46,0620.54%+0.16pp7q-5.5%-$1.1M
CROWN CASTLE INCCCI$18.5M243,8810.53%-0.06pp7qHELD
INTERNATIONAL BUSINESS MACHSIBM$18.4M65,3490.52%+0.03pp7q-5.5%-$1.1M
MARTIN MARIETTA MATLS INCMLM$18.2M31,6440.52%-0.03pp7qHELD
ELI LILLY & COLLY$17.3M14,4510.49%+0.21pp7q+38.3%+$4.8M
HOME DEPOT INCHD$17.3M49,1270.49%-0.01pp7q-5.5%-$1.0M
HDFC BANK LTDHDB$17.2M665,9370.49%-newNEW
UNITED RENTALS INCURI$16.8M14,8550.48%+0.12pp7q-11.4%-$2.2M
BANK OF NY MELLON CORPBNY$16.6M115,0190.47%+0.05pp7q-5.5%-$963.5K
ORACLE CORPORCL$16.1M110,0660.46%-0.07pp7q-10.7%-$1.9M
ATLASSIAN CORPORATIONTEAM$15.7M201,6950.45%flat7q-9.4%-$1.6M
NUCOR CORPNUE$15.3M68,8760.44%+0.05pp7q-11.3%-$1.9M
VERIZON COMMUNICATIONS INCVZ$15.0M354,9350.43%-0.13pp7q-5.5%-$870.6K
PROCTER & GAMBLE COPG$14.8M100,8160.42%-0.03pp7q-5.5%-$856.4K
AT&T INCT$14.5M700,8330.41%-0.22pp7q-5.5%-$840.4K
PARKER-HANNIFIN CORPPH$14.0M14,2990.40%flat7q-5.5%-$809.9K
WASTE CONNECTIONS INCWCN$13.8M83,0100.39%-0.54pp7q-57.8%-$18.9M
LAM RESEARCH CORPLRCX$13.6M31,3190.39%+0.05pp7q-41.4%-$9.6M
STEEL DYNAMICS INCSTLD$12.8M55,7890.36%-0.10pp7q-36.9%-$7.5M
UNION PAC CORPUNP$10.6M39,1500.30%+0.02pp7qHELD
AMERICAN WTR WKS CO INC NEWAWK$10.3M78,5020.29%+0.19pp7q+215.6%+$7.1M
ANALOG DEVICES INCADI$10.3M25,8710.29%-0.02pp7q-21.5%-$2.8M
ALLSTATE CORPALL$10.2M42,6940.29%+0.01pp7q-5.5%-$588.4K
CVS HEALTH CORPCVS$10.1M97,4500.29%+0.07pp7q-5.5%-$584.0K
AFLAC INCAFL$9.9M84,6610.28%-0.01pp7q-5.5%-$575.0K
PPL CORPPPL$9.8M270,1480.28%-0.04pp7q-5.5%-$568.9K
QUALCOMM INCQCOM$9.8M52,9920.28%-0.08pp7q-44.9%-$8.0M
EXELON CORPEXC$9.5M204,8440.27%-0.04pp7q-5.5%-$553.2K
ENTERPRISE PRODS PARTNERS LEPD$9.4M255,9330.27%-0.13pp7q-28.9%-$3.8M
LOWES COS INCLOW$9.4M42,6430.27%-0.05pp7q-5.5%-$544.6K
FORD MTR COF$9.3M671,5840.27%-0.01pp7q-17.7%-$2.0M
BANK OF AMER CORPBAC$9.3M162,7340.26%+0.03pp7qHELD
AMERIPRISE FINL INCAMP$9.3M20,2040.26%-0.01pp7q-5.5%-$536.7K
GRUPO AEROPORTUARIO DEL SUREASR$9.2M29,9310.26%-0.19pp7q-34.8%-$4.9M
HCA HEALTHCARE INCHCA$9.1M23,2240.26%-1.10pp7q-76.3%-$29.1M
MONDELEZ INTL INCMDLZ$8.9M153,8400.25%-0.02pp7q-5.5%-$515.5K
AMGEN INCAMGN$8.8M24,2450.25%-0.01pp7q-5.5%-$508.8K
THE CIGNA GROUPCI$8.5M30,9420.24%-0.01pp7q-5.5%-$494.3K
ALPHA TAU MEDICAL LTDDRTSW$8.4M157,7000.24%-0.03pp5q-5.5%-$486.9K
MCKESSON CORPMCK$8.2M10,8950.23%-0.88pp7q-75.2%-$24.9M
WABTECWAB$8.2M30,4730.23%flat7q-5.5%-$475.8K
CRH PLCCRH$8.0M74,9670.23%flat7qHELD
PFIZER INCPFE$7.8M324,4510.22%-0.06pp7q-5.5%-$452.6K
JOHNSON CONTROLS INTERNATIONJCI$7.8M53,2550.22%+0.02pp7qHELD
EBAY INC.EBAY$7.7M68,7040.22%+0.02pp7q-5.5%-$444.8K
COMCAST CORP NEWCMCSA$7.6M311,4220.22%-0.04pp7qHELD
TRAVELERS COMPANIES INCTRV$7.6M23,1340.22%+0.02pp7qHELD
ATMOS ENERGY CORPATO$7.6M44,0790.22%-0.05pp7q-11.0%-$933.9K
TYLER TECHNOLOGIES INCTYL$7.5M25,7780.21%-0.04pp2qHELD
GILEAD SCIENCES INCGILD$7.5M59,5710.21%-0.03pp7qHELD
KEYSIGHT TECHNOLOGIES INCKEYS$7.3M20,8130.21%+0.03pp7qHELD
ELEVANCE HEALTH INC FORMERLYELV$7.1M18,3720.20%+0.04pp7qHELD
PNC FINL SVCS GROUP INCPNC$7.0M28,2630.20%+0.03pp7qHELD
GRUPO AEROPORTUARIO DEL CENTOMAB$6.8M60,0710.19%-0.31pp7q-59.6%-$10.0M
INSTALLED BLDG PRODS INCIBP$6.7M28,9670.19%-0.04pp7qHELD
TE CONNECTIVITY PLCTEL$6.6M32,7000.19%-0.01pp7qHELD
NEWMONT CORPNEM$6.6M70,5330.19%-0.05pp7q-5.5%-$381.6K
CATERPILLAR INCCAT$6.4M6,0230.18%-0.03pp7q-39.9%-$4.3M
VERTEX PHARMACEUTICALS INCVRTX$6.4M12,8980.18%+0.01pp7qHELD
CBRE GROUP INCCBRE$6.3M46,6670.18%-0.01pp7qHELD
SEMPRASRE$6.0M64,5470.17%-0.01pp7qHELD
ADVANCED MICRO DEVICES INCAMD$5.9M10,1610.17%+0.13pp4q+55.9%+$2.1M
COCA-COLA EUROPACIFIC PARTNECCEP$5.6M55,7570.16%+0.01pp7qHELD
ABBOTT LABORATORIESABT$5.4M59,3260.15%-0.03pp7qHELD
HILTON WORLDWIDE HLDGS INCHLT$5.3M16,0010.15%+0.01pp7qHELD
WALMART INCWMT$5.1M44,8820.14%-newNEW
D R HORTON INCDHI$5.0M30,4010.14%+0.02pp7qHELD
ELECTRONIC ARTS INCEA$4.7M22,9230.13%flat7qHELD
3M COMMM$4.3M26,7360.12%+0.01pp7qHELD
DELL TECHNOLOGIES INCDELL$4.3M9,8620.12%+0.07pp4qHELD
LYONDELLBASELL INDUSTRIES NVLYB$4.2M79,7270.12%-0.07pp7qHELD
DOVER CORPDOV$4.2M18,6570.12%flat7qHELD
LINDE PLCLIN$4.1M7,9910.12%flat7qHELD
BLACKROCK INCBLK$4.1M4,2990.12%flat6qHELD
CORPAY INCCPAY$3.9M11,7510.11%+0.01pp7qHELD
MEDTRONIC PLCMDT$3.9M49,3470.11%-0.02pp7qHELD
DEERE & CODE$3.8M6,0000.11%-0.34pp7q-78.1%-$13.6M
CORTEVA INCCTVA$3.7M43,9370.11%flat7qHELD
DOLLAR TREE INCDLTR$3.5M28,6260.10%+0.01pp7qHELD
UNITED PARCEL SVCS INCUPS$3.4M31,2580.10%+0.01pp7qHELD
QNITY ELECTRONICS INCQ$3.2M19,8660.09%-0.01pp3q-32.4%-$1.6M
BLOCK INCXYZ$3.2M41,8570.09%+0.02pp7qHELD
DOW HLDGS INCDOW$3.1M115,1120.09%-0.05pp7qHELD
BEST BUY INCBBY$3.1M41,1030.09%+0.01pp7qHELD
VERTIV HOLDINGS COVRT$3.1M9,2980.09%+0.02pp4qHELD
TYSON FOODS INCTSN$3.1M53,3160.09%-0.01pp7qHELD
KEURIG DR PEPPER INCKDP$3.1M93,2520.09%+0.01pp7qHELD
CONSTELLATION BRANDS INCSTZ$3.0M21,3110.08%-0.01pp7qHELD
KLA CORPKLAC$3.0M9,7800.08%+0.04pp4q+900.0%+$2.7M
NORFOLK SOUTHN CORPNSC$2.8M8,8850.08%flat7qHELD
COSTCO WHOLESALE CORPORATIONCOST$2.8M2,9590.08%-newNEW
DUPONT DE NEMOURS INC$2.7M19,5770.08%-newNEW
BECTON DICKINSON & COBDX$2.5M16,5450.07%-0.01pp7qHELD
ON SEMICONDUCTOR CORPON$2.5M26,1570.07%-0.07pp7q-66.7%-$4.9M
CITIGROUP INCC$2.5M17,5580.07%+0.03pp4q+39.0%+$689.0K
HEWLETT PACKARD ENTERPRISE CHPE$2.4M53,6940.07%+0.03pp4qHELD
KIMBERLY-CLARK CORPKMB$2.4M21,5930.07%+0.01pp7qHELD
MORGAN STANLEYMS$2.4M11,2850.07%+0.03pp4q+38.7%+$658.7K
MCDONALDS CORPMCD$2.4M8,7260.07%+0.01pp7q+34.0%+$598.7K
MARVELL TECHNOLOGY INCMRVL$2.3M7,7530.07%+0.02pp4q-52.9%-$2.6M
DELTA AIR LINES INCDAL$2.1M22,5480.06%+0.02pp4qHELD
TEXAS INSTRS INCTXN$2.1M7,0000.06%-newNEW
MOLINA HEALTHCARE INCMOH$2.0M8,8100.06%+0.02pp7qHELD
WELLS FARGO & COWFC$2.0M23,7120.06%+0.02pp4q+54.0%+$687.3K
DISNEY WALT CODIS$1.9M20,1650.06%flat7qHELD
EQUITY RESIDENTIALEQR$1.9M27,8240.05%+0.01pp7qHELD
INTERACTIVE BROKERS GROUP INIBKR$1.7M19,8100.05%+0.01pp4qHELD
GOLDMAN SACHS GROUP INCGS$1.6M1,6220.05%+0.01pp4qHELD
NXP SEMICONDUCTORS N VNXPI$1.6M5,7750.05%+0.01pp4qHELD
FISERV INCFISV$1.6M32,0220.04%-0.01pp7qHELD
APTIV PLCAPTV$1.5M24,9300.04%-0.01pp3qHELD
COCA COLA COKO$1.5M18,0000.04%-newNEW
PAYPAL HLDGS INCPYPL$1.4M33,4170.04%flat7qHELD
GARTNER INCIT$1.4M11,0350.04%-0.01pp7qHELD
ROYAL CARIBBEAN GROUPRCL$1.3M3,9710.04%flat4qHELD
WATERS CORPWAT$839.7K2,2390.02%flat2qHELD
VERSANT MEDIA GROUP INCVSNT$448.5K12,4560.01%flat2qHELD
VERSIGENT PLCVGNT$349.1K8,3090.01%-newNEW

By sector

Industry comes from the SIC code on each company's own SEC filings, which is self-reported and sometimes out of date. Derivative exposure is counted with the shares. Securities the SEC assigns no industry - funds, trusts, foreign issues - are shown as not classified rather than dropped.

Software & IT Services 15.3%Semiconductors & Electronics 11.5%Business Services 11.1%Retail & Consumer 7.1%Insurance 5.7%Medical Devices 5.5%Biotech & Pharma 5.4%Banks & Lending 4.6%Utilities 4.5%Computer Hardware 4.1%Transport & Logistics 3.3%Telecom & Media 3.2%Other sectors 18.6%Not classified 0.1%
 
SectorValueShare
Software & IT Services$537.9M15.3%
Semiconductors & Electronics$403.5M11.5%
Business Services$389.5M11.1%
Retail & Consumer$249.4M7.1%
Insurance$199.5M5.7%
Medical Devices$193.4M5.5%
Biotech & Pharma$187.9M5.4%
Banks & Lending$162.9M4.6%
Utilities$157.5M4.5%
Computer Hardware$143.8M4.1%
Transport & Logistics$116.9M3.3%
Telecom & Media$113.2M3.2%
Other sectors$651.1M18.6%
Not classified$2.7M0.1%

Quarter by quarter

QuarterValuePositions NewAddedTrimmed ExitedTop 10 Days to file
Q2 2026$3.5B17482375331.9%14
Q1 2026$3.4B16952463230.0%16
Q4 2025$3.9B16672423130.8%26
Q3 2025$3.8B1601721262531.1%29
Q2 2025$4.2B168513134136.8%35
Q1 2025$4.1B16412111135.6%29
Q4 2024$4.1B164000037.4%35

Rows marked UNVERIFIED ID, PLACEHOLDER ID, TICKER AS ID or NON-CUSIP ID carry an identifier that is not a valid CUSIP. They are shown because the filer reported that money, but treat the security named with caution - hover the chip for what is wrong with it, and see the methodology.

Held counts consecutive filings in which this manager reported the position, and can reach further back than the quarters listed above: the tabs begin at Q4 2018 because earlier coverage is too sparse to describe a market, but tenure is counted over every filing we hold, some reaching to 2007. A position sold and later rebought starts again from one.

Weight change is the shift in this position's share of the whole book, in percentage points. It is the more useful column: when money flows into or out of a broad fund, almost every holding is bought or sold at once, so added and trimmed largely track flows. A weight that rose while the book shrank is a decision. Both compare with the previous quarter this filer reported, not the previous calendar quarter.