DividendTracker

Holdings

10 holdings · $4,284.60/yr · Market value $156,459.00

Total Annual Income

$4,284.60

Portfolio Yield

2.74%

Active Holdings

9 / 10

Avg Streak

32 yrs

Showing 10 of 10 holdings

Ticker
Company
Shares
Yield
YoC
Annual Income
DGR 3yr
Streak
Next Payout
Status

Verizon Communications

Communication Services

2506.44%6.32%$665.00+1.9%
18yr

Aug 1

Qtrly

Active
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DRIP

Realty Income Corp.

REITs

2005.78%6.08%$634.00+3.1%
29yr

Jun 15

Monthly

Active
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Johnson & Johnson

Healthcare

1203.13%3.49%$595.20+5.4%
62yr

Jun 3

Qtrly

Active
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AbbVie Inc.

Healthcare

753.59%5.70%$480.00+8.6%
12yr

Aug 15

Qtrly

Active
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DRIP

Procter & Gamble

Consumer Staples

1102.27%3.18%$413.60+5.8%
68yr

Aug 15

Qtrly

Active
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NextEra Energy

Utilities

1802.89%2.99%$370.80+10.0%
28yr

Jun 16

Qtrly

Active
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DRIP

JPMorgan Chase

Financials

652.34%3.61%$325.00+15.2%
14yr

Jul 31

Qtrly

Active
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The Coca-Cola Co.

Consumer Staples

1502.87%4.06%$294.00+4.7%
63yr

Jul 1

Qtrly

Active
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DRIP

Microsoft Corp.

Technology

850.72%1.21%$255.00+10.3%
21yr

Jun 12

Qtrly

Active
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3M Company

Industrials

902.06%1.96%$252.00-2.4%
3yr

Jun 12

Qtrly

Cut
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Portfolio Total1,3252.74%$4,284.60