Investment Strategy - The investment strategy focuses on constructing portfolios aimed at generating additional income through dividends by identifying companies with significant competitive advantages and strong financials [1] - The strategy emphasizes combining high Dividend Yield and Dividend Growth companies to reduce dependence on broader stock market fluctuations [1] - Diversification across various sectors and industries is a key component to minimize portfolio volatility and mitigate risk [1] - Companies with a low Beta Factor are suggested to further reduce the overall risk level of the investment portfolio [1] Portfolio Composition - The suggested investment portfolios commonly consist of a blend of ETFs and individual companies, emphasizing broad diversification and risk reduction [1] - The selection process for high dividend yield and dividend growth companies is meticulously curated to prioritize total return, encompassing both capital gains and dividends [1] Analyst's Position - The analyst has a beneficial long position in shares of AMZN, PYPL, BRK B, BLK, AAPL, SCHD, GOOG, and META through stock ownership, options, or other derivatives [2]
Expanding The Dividend Income Accelerator Portfolio: How Amazon And PayPal Enhance Our Dividend Strategy