Updated: 10.06.2020


Currently my portfolio holds 29 stocks and 1 ETF.
The lines in red shows the companies who cut or suspended their dividends so far due to the COVID-19 pandemic.

Stock Industry Shares Div %
Reality Income REIT 46,57 3,6
Stag Industrial REIT 61 4,8
Gladstone Commerical REIT 100 6,4
Simon Property Group REIT 27 15
Tanger Factory Outlet REIT 50 25
Disney Media 16 1,2
Altria Tobacco 13,4 7,2
Coca Cola Beverages 25,4 2,9
Iron Mountain REIT 25 7,2
Philip Morris Tobacco 15,57 6,0
Apple Consumer Electronics 6,27 1,3
AT+T Telecom Services 83,42 5,2
Procter & Gamble Household & Personal Products 5,66 2,4
CVS Health Care Plans 10 3,1
Verizon Telecom Services 10,87 4,0
Microsoft Software - Infrastructure 12,66 1,3
IBM Information Technology Services 6,89 4,4
Johnson & Johnson Drug Manufacturers - Major 4,54 2,8
Walgreens Pharmaceutical Retailers 15 3,0
Cisco Communication Equipment 23,50 3,0
3M Diversified Industrials 15 3,3
Exxon Oil & Gas Integrated 30 7,3
JP Morgan Chase Banks 0,68 3,9
Wells Fargo Banks 20 7,7
Royal Dutch Shell Oil & Gas Integrated 30 15,6
Aflac Insurance 40 3
Delta Airlines Airlines 33 7,4
Starbucks Restaurants 10 2,1
Allianz Insurance 8 4,9
BMW Auto Manufacturers 17 4,0
VANGUARD FTSE ALL-WORLD U.ETF 84

The following two tabs change content below.
mm

Mr. Financial Freedom

Mr. Financial Freedom was created by Daniel (20-something) who got inspired by many very popular money blogs. Daniel is from Germany and currently employed as a Computer Engineer and started 2 year ago the road towards financial freedom. His goal is to reach financial freedom with a 4 step plan. Check the "About" page for more information.
mm

Latest posts by Mr. Financial Freedom (see all)