Alright folks, I've committed the cash. I spent a *lot* of time this weekend deciding which positions and how many to have. At times I had 3 different wishlists going on, each varying in size between 14 and 46 positions.
In the end I think I went a pretty conservative route, very blue-chippy. I left out a lot of companies that I love but in the end I wanted more cash committed to the pillars of DGI so I could really hitch a ride on the compounding nature of these historical companies. I'll be full DRIP so hopefully there's enough juice left in these companies to compound 10X in the next 30 years or so.
There are 20 positions. Each position has 4.9% weighting except for one which has 6.4% weight, take a guess at which one if you so desire.
For better or worse:
CL
CLX
DCI
GILD
GIS
JNJ
KMI
KO
MMM
MON
MSFT
O
PEP
PG
PM
SBUX
TROW
WEC
WFC
XOM
Maybe a few surprises, but I'm pretty sure they'll all be around in 30 years.
In the end I think I went a pretty conservative route, very blue-chippy. I left out a lot of companies that I love but in the end I wanted more cash committed to the pillars of DGI so I could really hitch a ride on the compounding nature of these historical companies. I'll be full DRIP so hopefully there's enough juice left in these companies to compound 10X in the next 30 years or so.
There are 20 positions. Each position has 4.9% weighting except for one which has 6.4% weight, take a guess at which one if you so desire.
For better or worse:
CL
CLX
DCI
GILD
GIS
JNJ
KMI
KO
MMM
MON
MSFT
O
PEP
PG
PM
SBUX
TROW
WEC
WFC
XOM
Maybe a few surprises, but I'm pretty sure they'll all be around in 30 years.