DAVWEN94 Portfolio

Description:

Dividend Growth. I favor large cap stocks with above average dividend yield with a track record for consistently raising dividends on an annual basis. I also dedicate 20% of my portfolio to speculation and market timing. The model I use (Weekly 6% NDX) is found in Leslie Masonson's book "All About Market Timing". My portfolio always has a sizable cash position as well to take advantage of what I percieve as buying opportunities.

Cash represents 55% of Portfolio.
SymbolStart PriceReturn Value
JNJ$61.731.26%
BAC$50.96-85.97%
UTX$80.50-9.29%
KO$47.8457.25%
SBUX$30.0281.75%
HD$39.3125.77%
VNQ$75.25-16.72%
T$37.21-9.46%
VZ$41.92-1.12%
QQQQ$43.1331.79%
VTI$153.26-55.79%
MCD$51.9175.40%
MO$86.86-63.03%
GE$41.81-54.08%
PVX$12.62-4.91%
ACAS$41.04-77.66%
CVX$68.7243.86%
ED$45.9629.70%
DBC$31.43-17.12%
XLK$26.764.15%
PG$70.18-10.96%
GD$78.59-19.10%
MMM$77.589.28%
PFE$24.02-7.87%
CVY$22.4099-6.87%
AIG$57.68-49.74%
ALD$20.46-75.61%
KMP$55.6343.21%
PPG$70.8845.57%
APD$82.25-2.81%
Symbols Deleted Since Tracking Began
DIA$123.130.92%
NFG$41.305.01%
VIG$53.434.98%
CASH$30.94-33.74%
PSQ$63.8501-56.57%
HCP$36.3212.83%
QID$52.58-32.90%
QLD$84.65-41.08%
BSV$75.247.76%
WTR$22.233.55%
CTR$21.764.23%
CTL$48.66-19.98%
XOM$90.33-9.13%
SHW$67.6086.85%
C$48.81-45.77%
RPM$24.357.68%
DVY$70.20-21.68%
ECL$47.8534.48%
FPL$62.24-11.62%
HTE$28.04-66.44%
TNH$125.7859.13%

Average Return: -3.97%

Success Rate: 40.00%

Tracking Started: 03-12-2007

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