Good day.
The following is my portfolio in a Canada TFSA account.
The current overall yield is 7.79% and I will tried to keep it at least 6% yield while adding more other companies or increase current position. And eventually want to keep the list not longer than 30~40 companies.
AD.TO 12.9% (of the whole portfolio)
BEP-UN.TO 6.9%
BIP-UN.TO 7.3%
CHE-UN.TO 12.1%
FTS.TO 14.7%
IPL.TO 13.9%
NVU.UN.TO 8.9%
TCL-A.TO 6.8%
VET.TO 16.4%
Do you have any recommendation about what to add to this portfolio? Or does 6% make sense at all (most of articles I read discourage yield more than 3 or 4)
Thank you.
The following is my portfolio in a Canada TFSA account.
The current overall yield is 7.79% and I will tried to keep it at least 6% yield while adding more other companies or increase current position. And eventually want to keep the list not longer than 30~40 companies.
AD.TO 12.9% (of the whole portfolio)
BEP-UN.TO 6.9%
BIP-UN.TO 7.3%
CHE-UN.TO 12.1%
FTS.TO 14.7%
IPL.TO 13.9%
NVU.UN.TO 8.9%
TCL-A.TO 6.8%
VET.TO 16.4%
Do you have any recommendation about what to add to this portfolio? Or does 6% make sense at all (most of articles I read discourage yield more than 3 or 4)
Thank you.