I am going to post occasionally about some characteristics of my portfolio. Today's post will be about dividend yields as lof today.
- Thirty-three percent of our holdings (by market value) yield between 2% and 3%,
PG, CSCO, TXN, JNJ, PEP, DLR, SCHD and JNJ
- Thirty percent yield between 3% and 4%
UGI, WEC, LMT, EOG, D, TD, GILD and SO
- Sixteen percent yield between 4% and 5%
O, CM, TU, and VZ
- The remaining 21% yield over 6%
PBA, UTG, ETO, KMI, ENB and PTY (UTG, ETO NIE and PTY are CEFs)
- Thirty-three percent of our holdings (by market value) yield between 2% and 3%,
PG, CSCO, TXN, JNJ, PEP, DLR, SCHD and JNJ
- Thirty percent yield between 3% and 4%
UGI, WEC, LMT, EOG, D, TD, GILD and SO
- Sixteen percent yield between 4% and 5%
O, CM, TU, and VZ
- The remaining 21% yield over 6%
PBA, UTG, ETO, KMI, ENB and PTY (UTG, ETO NIE and PTY are CEFs)