10-13-2014, 10:17 AM
(This post was last modified: 10-13-2014, 10:37 AM by DividendDragon.)
Ok so I came here knowing little about dividend growers if I'm honest.
After a while... I realised that my portfolio was WEAK!
I'd like to thank DividendWatcher and others for helping me out.
Here's a peak at my current portfolio. I know that GAZP and CRLL.N are not good but It's not really worth the fees to divest.
Worth = $4000
Stock name % Weight Sector
1 Exxon Mobil Corp. 21.4% [N/A]
2 Lloyds Banking Group 20.2% [N/A]
3 McDonalds Corp 19.0% [N/A]
4 GlaxoSmithKline 13.1% [N/A]
5 AFLAC 11.7% [N/A]
6 OAO GAZPROM 8.7% [N/A]
7 Carillion 5.7% [N/A]
Next on my list = UNILEVER and T.
Will have capital on January 5th.
Let me know if you think I'm in a stronger position now (See previous thread)
Annual dividend = $133
Yiled = 3.7%
The figures may be slightly out due to currency and rounding
After a while... I realised that my portfolio was WEAK!
I'd like to thank DividendWatcher and others for helping me out.
Here's a peak at my current portfolio. I know that GAZP and CRLL.N are not good but It's not really worth the fees to divest.
Worth = $4000
Stock name % Weight Sector
1 Exxon Mobil Corp. 21.4% [N/A]
2 Lloyds Banking Group 20.2% [N/A]
3 McDonalds Corp 19.0% [N/A]
4 GlaxoSmithKline 13.1% [N/A]
5 AFLAC 11.7% [N/A]
6 OAO GAZPROM 8.7% [N/A]
7 Carillion 5.7% [N/A]
Next on my list = UNILEVER and T.
Will have capital on January 5th.
Let me know if you think I'm in a stronger position now (See previous thread)
Annual dividend = $133
Yiled = 3.7%
The figures may be slightly out due to currency and rounding