11-14-2014, 12:29 PM
My Updated Portfolio 11-14-2014
Symbol Weight
t 4.73%
cop 4.18%
mat 0.41%
O 6.22%
pm 6.81%
ko 6.26%
CVX 5.33%
AVA 3.57%
AFL 0.69%
has 2.32%
vz 4.00%
nsc 4.37%
pep 4.09%
ohi 3.74%
tgt 1.97%
bp 2.40%
arcp 1.56%
xom 2.00%
hcp 2.62%
wec 3.04%
mo 4.60%
bbl 2.42%
so 3.56%
msft 3.47%
kmi 4.46%
csx 0.89%
gis 2.34%
bax 3.05%
ul 0.07%
mcd 0.07%
ge 1.37%
de 3.39%
Recent additions are Ge,Mat, UL, and ARCP. Every single one raised their Dividend this year and some even raised it twice. Next year may be a different story due to the ARCP debacle. Not a company I should have invested in to start with since it fails to meet my investing criteria. However, I didn't bet the farm on it so we shall see how things shake out.
Couldn't be happier with my choice to become a dividend growth investor. I appreciate this forum and thank everyone for sharing their knowledge and thoughts.
Symbol Weight
t 4.73%
cop 4.18%
mat 0.41%
O 6.22%
pm 6.81%
ko 6.26%
CVX 5.33%
AVA 3.57%
AFL 0.69%
has 2.32%
vz 4.00%
nsc 4.37%
pep 4.09%
ohi 3.74%
tgt 1.97%
bp 2.40%
arcp 1.56%
xom 2.00%
hcp 2.62%
wec 3.04%
mo 4.60%
bbl 2.42%
so 3.56%
msft 3.47%
kmi 4.46%
csx 0.89%
gis 2.34%
bax 3.05%
ul 0.07%
mcd 0.07%
ge 1.37%
de 3.39%
Recent additions are Ge,Mat, UL, and ARCP. Every single one raised their Dividend this year and some even raised it twice. Next year may be a different story due to the ARCP debacle. Not a company I should have invested in to start with since it fails to meet my investing criteria. However, I didn't bet the farm on it so we shall see how things shake out.
Couldn't be happier with my choice to become a dividend growth investor. I appreciate this forum and thank everyone for sharing their knowledge and thoughts.