My dividend portfolio was built starting in March 2016 with an initial value of 5000 EUR.
Right now it is composed of 28 companies, as of April 2017.
BK Nova Scotia
|
BNS.TO
|
50
|
Emerson Electric
|
EMR
|
65
|
Daimler AG
|
DAI.DE
|
50
|
AT&T
|
T
|
125
|
GSK
|
GSK
|
60
|
Next
|
NXT.L
|
35
|
HCP
|
HCP
|
70
|
Coca Cola
|
KO
|
50
|
Johnson & Johnson
|
JNJ
|
15
|
New Senior Inv P
|
SNR
|
300
|
Fortum
|
FORTUM.HE
|
65
|
BASF
|
BAS.DE
|
10
|
BP PLC
|
BP.L
|
120
|
Royal Dutch Shell
|
RDSB.L
|
25
|
E.ON
|
EOAN.DE
|
230
|
Österreichische Post AG
|
POST.VI
|
115
|
UNIQA
|
UQA.VI
|
730
|
Kimberly Clark
|
KMB
|
28
|
Verizon
|
VZ
|
65
|
Buckeye Partners
|
BPL
|
40
|
Consolidated Edison
|
ED
|
30
|
PPL
|
PPL
|
75
|
VF Corp
|
VFC
|
50
|
Enbridge
|
EEP
|
177
|
Altria
|
MO
|
35
|
Philp Morris
|
PM
|
29
|
Compass Minerals
|
CMP
|
50
|
Old Republic International
|
ORI
|
150
|
|
|
Disclosure: I do not recommend any decision to the reader or any user,
please consult your own research. Thank you for your understanding. |
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