WEEK #30 (24-JULY-2022)

Portfolio 1 (dividend4u-HYHR)

1.     Portfolio Statistics –
Portfolio cost value: $306,888

Portfolio market value: $296,373
Portfolio Net P/L: $-10,514
Portfolio Net P/L%: -3.43%
Projected Annual Dividend Income (PADI): $14,450
Yield on Market: 4.88%
Yield on Cost: 4.66%

2.     Last week’s transactions:

 

Plan

Reality

 

Symbol

Yield

Date

Units

Average price

1

TD

4.53%

20/07/2022

16

63.48

2

CUBE

4.14%

18/07/2022

25

41.40

3

TRN

4.14%

21/07/2022

44

23.92

4

KRC

4.02%

20/07/2022

19

53.40

5

MCY

5.88%

18/07/2022

24

42.34

6

WU

5.76%

20/07/2022

63

16.67

7

BNS

5.68%

20/07/2022

18

57.90

8

STOR

5.73%

18/07/2022

38

26.75

9

KALU

4.14%

18/07/2022

14

72.59

10

OZK

3.47%

21/07/2022

28

38.64

 

 

 

 

 

 

11

 

 

 

 

 

 

3.     Buying plan for week #30:

 

Symbol

Yield

1

ALLY

3.58%

2

KALU

4.23%

3

HMN

3.81%

4

LNC

3.63%

5

NUS

3.61%

6

VZ

5.76%

7

LYB

5.48%

8

AQN

5.41%

9

AY

5.41%

10

CM

5.29%

 

 

 

11

 

 

 

Portfolio 2 (dividend4u-MPDGI)

1.     Portfolio Statistics –
Portfolio cost value: $309,950

Portfolio market value: $296,547
Portfolio Net P/L: $-13,403
Portfolio Net P/L%: -4.32%
Projected Annual Dividend Income (PADI): $10,340
Yield on Market: 3.49%
Yield on Cost: 3.27%

2.     Last week’s transactions:

 

Plan

Reality

 

Symbol

Yield

Date

Units

Average price

1

CM

5.64%

20/07/2022

21

48.11

2

PM

5.54%

18/07/2022

12

90.06

3

AY

5.50%

18/07/2022

32

32.15

4

AQN

5.44%

20/07/2022

77

13.35

5

PRU

5.20%

21/07/2022

11

94.64

6

WPC

5.06%

18/07/2022

13

83.06

7

WBA

5.05%

20/07/2022

27

38.35

8

VZ

5.02%

18/07/2022

21

50.40

9

CNQ

4.93%

21/07/2022

21

49.44

10

STAG

4.90%

18/07/2022

35

29.75

 

 

 

 

 

 

11

 

 

 

 

 



3.     Buying plan for week #30:
*buying 11 stock this week since we closed position in GSK

 

Symbol

Yield

1

IBM

5.15%

2

PNW

4.84%

3

GILD

4.80%

4

NNN

4.78%

5

FNF

4.61%

6

NWE

4.62%

7

BBY

4.58%

8

LEG

4.52%

9

BMO

4.47%

10

MMM

4.44%

 

 

 

11

AVA

4.31%

 

 

4 thoughts on “WEEK #30 (24-JULY-2022)”

  1. Great work. However you have 350 stocks in your portfolio which I think is difficult to manage and sub-optimize portfolio outcomes.

    I am trying to screen 100 from this list which are common among all dividend focus investors these days.

    Once again great work and keep building

Comments are closed.