Type something and hit enter

ads here
On
advertise here

Brand spankin' new investor here.

You can find the file image here. (Left Side: High Growth 30% Total Portfolio - Right Side: Dividend Paying 70% Total Portfolio

Hey all,

Thanks for giving this a glance. I'm a new investor, and the purpose of this thread is to reap any beneficial info, including adjustments, considerations, criticisms, and even verbal abuse to some degree if you find a terrible decision. In fact it's encouraged.

My goal is to create two portfolios.

Portfolio One: 30% total Portfolio. High Growth, High Risk. Adjusted weekly or as necessary.

Time In Market % Growth
1MO +4.68%
1QTR +38.23%
1YR +138%
5YR +466%

Portfolio Two: 70% total Portfolio. Dividend Income. Adjusted annually or as necessary.

Emergence of clean energy dividend payers and a belief that this will sustain my desired adjustment period without needing to frequently adjust. Stability is the key, sacrificing short term equity gains for DRIP long term. Focusing on companies that I believe can prosper from the emergence of dividends in the clean energy sector. They must maintain dividend growth, with rare exception to equity stagnation for longer than 3 months.

Time In Market % Growth
1MO +4%
1QTR +12%
1YR +26%
5YR +36%


Submitted September 07, 2019 at 10:37PM by Seven__Lions https://ift.tt/2LynwCa

Click to comment