10-01-2014, 06:26 PM
Hi Guys, just wondering if anyone cared to comment on my portfolio. I own 36 companies, most are big solid names that most everyone in DG investing owns. Looking at my portfolio on seeking alpha, I noticed that only ONE company out of the 36 has beat the market over the past 52 weeks. I know you are not supposed to focus on what your portfolio is doing relative to the market, but having 35 out of 36 companies trailing the average is giving me the heebie jeebies, not the "sleep well at night" feeling that DGI is supposed to provide. Any advice or comments?
SYMBOL 52WK
VS MKT
WFC 8%
AVA 0%
PEP 0%
RDS.B-1%
KO -2%
JPM -2%
OHI -4%
BAX -5%
CSCO-6%
PG -6%
XOM -7%
KMI -7%
SO -8%
COP -8%
WAG -9%
VZ -9%
GE -9%
WMT -10%
GIS -10%
BP -11%
T -11%
K -11%
IBM -12%
O -12%
HCP -13%
CVX -13%
MCD -14%
DE -15%
TGT -15%
EMR -16%
WTR -17%
PM -18%
BBL -19%
ARCP -19%
GSK -21%
AFL -22%
SYMBOL 52WK
VS MKT
WFC 8%
AVA 0%
PEP 0%
RDS.B-1%
KO -2%
JPM -2%
OHI -4%
BAX -5%
CSCO-6%
PG -6%
XOM -7%
KMI -7%
SO -8%
COP -8%
WAG -9%
VZ -9%
GE -9%
WMT -10%
GIS -10%
BP -11%
T -11%
K -11%
IBM -12%
O -12%
HCP -13%
CVX -13%
MCD -14%
DE -15%
TGT -15%
EMR -16%
WTR -17%
PM -18%
BBL -19%
ARCP -19%
GSK -21%
AFL -22%