Dividend Portfolio
Search documents
Zoetis Stock: Why I’m Doubling Down On My Worst 2025 Pick (NYSE:ZTS)
Seeking Alpha· 2026-02-16 13:15
Brendan, a Pennsylvanian by birth:-Completed a Ph.D. at Stanford University in the field of organic synthesis (2009). -Worked for a major pharmaceutical company (Merck, 2009-2013).-Worked in biotech including start-ups (Theravance/Aspira) prior to securing employment at Caltech.-First employee and co-founder of 1200 Pharma as it spun out of Caltech garnering major investment (into the 8 figures).-Remains an avid investor, focused on market trends and especially biotechnology stocks.Analyst’s Disclosure: I/w ...
How To Build A $75,000 Dividend Portfolio With SCHD And 2026's Top 10 Dividend Picks
Seeking Alpha· 2026-02-02 18:00
Investment Strategy - The investment approach focuses on generating additional income through dividends, emphasizing companies with significant competitive advantages and strong financials [2] - A combination of high Dividend Yield and Dividend Growth is recommended to reduce dependence on broader stock market fluctuations [2] - The strategy includes constructing a well-diversified portfolio across various sectors and industries to minimize volatility and mitigate risk [2] Portfolio Composition - Suggested investment portfolios typically consist of a blend of ETFs and individual companies, highlighting broad diversification and risk reduction [2] - The selection process for high dividend yield and dividend growth companies is meticulously curated, prioritizing total return, which includes both capital gains and dividends [2] - The approach aims to maximize returns while considering the full spectrum of potential income sources [2]
Building A $100,000 Dividend Portfolio: Maximizing SCHD's Income With November's Top High-Yield Stocks
Seeking Alpha· 2025-11-26 20:00
Core Insights - The article emphasizes the construction of investment portfolios focused on generating additional income through dividends, highlighting the importance of companies with competitive advantages and strong financials [1] Group 1: Investment Strategy - The strategy involves identifying companies that provide attractive Dividend Yield and Dividend Growth, allowing for an increase in annual dividend income [1] - A well-diversified portfolio across various sectors and industries is recommended to minimize volatility and mitigate risk [1] - Incorporating companies with a low Beta Factor is suggested to further reduce the overall risk level of the investment portfolio [1] Group 2: Portfolio Composition - Suggested investment portfolios typically 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, focusing on total return, which includes both capital gains and dividends [1] - This approach aims to maximize returns while considering a full spectrum of potential income sources [1]
Building A $50,000 Dividend Portfolio: Enhancing SCHD's Income With October's Top High-Yield Stocks
Seeking Alpha· 2025-10-20 20:00
Core Viewpoint - The article emphasizes the importance of constructing investment portfolios that focus on generating additional income through dividends, highlighting the significance of companies with competitive advantages and strong financials to achieve attractive Dividend Yield and Dividend Growth [1]. Group 1: Investment Strategy - The investment strategy involves combining high Dividend Yield and Dividend Growth companies to reduce dependence on broader stock market fluctuations [1]. - A well-diversified portfolio across various sectors and industries is recommended to minimize portfolio volatility and mitigate risk [1]. - Incorporating companies with a low Beta Factor is suggested to further reduce the overall risk level of the investment portfolio [1]. Group 2: Portfolio Composition - Suggested investment portfolios typically 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, focusing on total return, which includes both capital gains and dividends [1]. - This approach ensures that the portfolio is designed to maximize returns while considering a full spectrum of potential income sources [1].
An Excellent 5-Fund Dividend Portfolio I'd Build To Retire On
Seeking Alpha· 2025-10-17 17:29
Core Insights - The company has released its latest top investment picks for October 2025, emphasizing the timeliness of joining to access these opportunities [1] - Significant investment in research is highlighted, with the company dedicating thousands of hours and over $100,000 annually to identify profitable investment strategies [1] - The approach has garnered over 190 five-star reviews from satisfied members, indicating a positive reception and effectiveness of the investment strategies [2]
3 High-Conviction Picks I Just Bought More Of For Our Dividend Portfolio
Seeking Alpha· 2025-09-29 20:00
Core Insights - The focus is on constructing investment portfolios that generate additional income through dividends, emphasizing companies with competitive advantages and strong financials [1] - The strategy combines high Dividend Yield and Dividend Growth to reduce dependence on stock market fluctuations [1] - A well-diversified portfolio across various sectors is recommended to minimize volatility and mitigate risk [1] Investment Strategy - The investment portfolio typically includes a blend of ETFs and individual companies, prioritizing broad diversification and risk reduction [1] - Companies with a low Beta Factor are suggested to further decrease overall investment risk [1] - The selection process for high dividend yield and growth companies is meticulously curated, focusing on total return, which includes both capital gains and dividends [1] Portfolio Management - The approach aims to maximize returns while considering a full spectrum of potential income sources [1] - The goal is to generate extra income through dividends while reducing risk through diversification [1]
Here is Why Civitas Resources (CIVI) is a Great Addition to Your Dividend Portfolio
Yahoo Finance· 2025-09-24 02:11
Core Viewpoint - Civitas Resources, Inc. (NYSE:CIVI) is recognized as one of the best natural gas and oil dividend stocks to consider for investment, despite recent challenges in its share price and market conditions [1]. Group 1: Shareholder Returns and Financial Strategy - In August, Civitas Resources increased its share repurchase authorization to $750 million, representing approximately 28% of its market capitalization at that time [2]. - The company plans to allocate 50% of its free cash flow after the base dividend to share buybacks annually, with the remainder directed towards debt reduction [2]. Group 2: Cost Optimization and Efficiency Initiatives - Civitas Resources is implementing $100 million in cost optimization and efficiency initiatives, expecting a $40 million impact in the current financial year [3]. Group 3: Market Performance and Challenges - The share price of Civitas Resources has declined by over 35% since the beginning of 2025, influenced by macroeconomic concerns and OPEC's decision to unwind production cuts, which may increase supply amid weaker demand [4]. - The company operates in the oil and gas exploration and production sector, with assets located in Colorado and Texas [4].
Building A $100,000 Dividend Portfolio: Maximizing SCHD's Income With September's Top High-Yield Stocks
Seeking Alpha· 2025-09-22 20:00
Core Insights - The focus is on constructing investment portfolios that generate additional income through dividends, emphasizing companies with competitive advantages and strong financials [1] - The strategy combines high Dividend Yield and Dividend Growth to reduce dependence on stock market fluctuations [1] - A well-diversified portfolio across various sectors is recommended to minimize volatility and mitigate risk [1] Investment Strategy - The investment portfolio typically includes a blend of ETFs and individual companies, prioritizing broad diversification and risk reduction [1] - Companies with a low Beta Factor are suggested to further lower the overall risk level of the investment portfolio [1] - The selection process for high dividend yield and growth companies is meticulously curated, focusing on total return, which includes both capital gains and dividends [1] Portfolio Management - The approach aims to maximize returns while considering a full spectrum of potential income sources [1] - The goal is to create a well-crafted investment portfolio that generates extra income through dividends while reducing risk through diversification [1]
Why Over 40% Of My Dividend Portfolio Is In This One Sector
Seeking Alpha· 2025-09-20 12:10
Group 1 - The article promotes a 2-week free trial for access to a real estate investment portfolio and top picks [1] - The company claims to be the largest real estate investment community on Seeking Alpha with over 2,000 members [1] - The community has received a perfect rating of 5/5 from over 400 reviews [1] Group 2 - A limited-time offer is available for joining at a deeply reduced rate [1] - The promotion emphasizes the value of the investment insights provided during the trial period [1]
Building A $50,000 Dividend Portfolio: Enhancing SCHD's Income With August's Top High-Yield Stocks
Seeking Alpha· 2025-08-13 22:00
Core Viewpoint - The Schwab U.S. Dividend Equity ETF (SCHD) is highlighted as an attractive investment option for income and dividend growth, but it lacks exposure to the Real Estate, Materials, and Utilities sectors [1]. Investment Strategy - The focus is on constructing investment portfolios that generate additional income through dividends by identifying companies with competitive advantages and strong financials [1]. - A combination of high Dividend Yield and Dividend Growth companies is recommended to reduce dependence on broader stock market fluctuations [1]. - The strategy emphasizes diversification across various sectors and industries to minimize portfolio volatility and mitigate risk [1]. - Incorporating companies with a low Beta Factor is suggested to further reduce overall investment risk [1]. Portfolio Composition - Suggested investment portfolios typically consist of a blend of ETFs and individual companies, focusing on broad diversification and risk reduction [1]. - The selection process for high dividend yield and growth companies is meticulously curated, prioritizing total return, which includes both capital gains and dividends [1]. - This approach aims to maximize returns while considering a full spectrum of potential income sources [1].