Fisher Investments' Knowledge Center

Education is a key part of Fisher Investments' high-touch service model for investors. Whether you’re looking for investment planning tools, or simply enjoy learning about the markets, we can help. In this section, access our quarterly Stock Market Outlook, investing guides and market commentary.

Why High Debt Doesn’t Imperil Growth

Debt levels are rising in the US and UK—but trouble doesn’t necessarily loom.

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August’s Dog Day PMIs

Global growth may be uneven, but stocks don’t need perfection.

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Making Sense of Calls for Eurozone Outperformance

We think investors benefit from owning eurozone stocks for diversification purposes, but the region’s value bias argues against outperformance over the foreseeable future, in our view.

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The Best Way to Play the Vaccine Races? Don’t.

Why we don’t think investors should try to pick winners in the race to develop COVID vaccines.

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Last Week In Markets: Aug 17 - Aug 21 2020

Fisher Investments recaps the biggest market, political and economic news from last week, including US and eurozone Markit Manufacturing and Services Purchasing Manager’s Index (PMI) readings, UK core consumer prices and retail sales figures and Japanese Q2 2020 GDP estimates.

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What the Debate Over Fed Minutes Misses on Yield Curve Control

Long-term interest rate targets are another name for price controls, which never work out in the long run.

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Jobless Claims’ Uptick Isn’t a Recovery Red Flag

New bull markets generally don’t need a strong job market to thrive.

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Making Sense of Prices in These COVID Times

Are COVID-impacted prices reason for investors to worry?

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Timely Takeaways From Q2’s Plunging Earnings

Q2’s S&P 500 earnings season is a timely lesson in how markets work.

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Don’t Thank the Fed for Stocks’ All-Time High

Stocks’ rally isn’t Fed-fueled, in our view, and it doesn’t need a catalyst to continue.

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