AbbVie And Pfizer: Q3 Dividend Checkup Post-Earnings
Group 1 - The articles on AbbVie Inc. and Pfizer Inc. provide actionable investment ideas based on independent research [1] - The investment strategy aims to help members outperform the S&P 500 while minimizing drawdowns during market volatility [2] Group 2 - The portfolio experienced a maximum drawdown of 7.3% during the 2022 correction, compared to a 51% drawdown in the S&P 500 [3] - The portfolio's performance during major market turbulence shows resilience, with drawdowns of -20.0% in Jan-Mar 2020 and -19.6% in Sept-Oct 2021 [3]