Tuesday, April 4, 2017

March 2017 Results

March 2017 Results
Present Plan:
Typically, contribute $600 a month to the portfolio, aiming for total returns of 8% YoY, with increasing dividend income. 
At present, my model portfolio in pretty much in place and the only remaining positions I wish to eliminate is ATRS.  
 
All dividends are currently being reinvested back into the companies paying the dividend. New cash will be used to add to positions or create new ones at $1k increments.
 
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Current Month-end Watchlist:
I will be considering the following purchases in April 2017…
Div Growth: TBD
Growth:  none
IRAs: none
 
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DIVIDEND and PERFORMANCE Highlights:
Portfolio was up 0.57% in March, outperforming the S&P by 0.61%.  
Total dividends for March were $504.48, up 16.0 YoY  
Total dividends for 2017 are $1,113.33, up 14.2% YoY from last year 
Monthly Dividend Raises
O increase of 0.2% from $0.2105/mo to $0.211/mo, up 5.5% over prior YE (Mar 15th)
WPC increase of 0.5% from $0.99/qtr to $0.995/mo, up 1.3% over prior YE (Mar 16th)
YTD Dividend Raises  
The dividend raises for 2017 to date are below.  The average is 5.1% YTD 
ENB increase of 10.0% from C$0.53/semi to 0.583/semi (Jan 6th)
OHI increase of 1.6% from $0.61/qtr to $0.62/qtr (Jan 12th)
D increase of 7.9% from 0.70/qtr to 0.755/qtr (Jan 21st)
LNT increase of 7.2% from $0.29375/qtr to $0.315/qtr (Jan 14th)
O increase of 4.0% from $0.2025/mo to $0.2105/mo, up 5.3% over prior YE (Jan 17th)
MMP increase of 2.1% from $0.8375/qtr to $0.855/qtr (Jan 24th)
KMB increase of 5.4% from $0.92/qtr to $0.97/qtr (Jan 24th)
SPG increase of 6.1% from $1.65/qtr to $1.75/qtr (Jan 31st)
KO increase of 5.7% from $0.35/qtr to $0.77/qtr (Feb 16th)
GPC increase of 2.7% from $0.6575/qtr to $0.675/qtr (Feb 20th)
XEL increase of 5.9% from $0.34/qtr to $0.36/qtr (Feb 22nd)
O increase of 0.2% from $0.2105/mo to $0.211/mo, up 5.5% over prior YE (Mar 15th)
WPC increase of 0.5% from $0.99/qtr to $0.995/mo, up 1.3% over prior YE (Mar 16th)
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MARCH 2017 DIVIDENDS RECEIVED: 
TAXABLE ACCOUNT:          (Amount)     (Dividends Reinvested)
WEC Energy (WEC)…….    $32.81…… bot 0.551 shs 
Pfizer Inc (PFE) …………… $50.68…… bot 1.485 shs 
Enbridge Inc (ENB)……...    $22.30…… bot 0.539 shs 
Mattel Inc (MAT)………….    $30.05…… bot 1.165 shs 
IBM Corp (IBM) …………… $19.36…… bot 0.107 shs 
Target Corp (TGT)…………. $33.74…… bot 0.609 shs 
Johnson & Johnson (JNJ)… $36.04…… bot 0.287 shs 
McDonalds (MCD) ………… $38.74…… bot 0.303 shs 
VF Corp (VFC)…………….  $22.68…… bot 0.424 shs 
Allergan PLC (AGN)………..  $7.70 …… bot 0.032 shs 
Union Pacific (UNP)……….. $17.37…… bot 0.165 shs 
TRADITIONAL IRA:             (Amount)    (Dividends Reinvested)
Southern Co (SO) ………...   $53.33……  bot 1.060 shs 
Stag Industrial (STAG) ……   $13.90……  bot 0.571 shs 
Dominion Resources (D) ….. $53.24……  bot 0.688 shs 
Ventas Inc (VTR) …………..  $49.44……  bot 0.768 shs 
ROTH IRA:                         (Amount)    (Dividends Reinvested)
Realty Income (O)  ...……..    $23.10…… bot 0.403 shs
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DIVIDEND PORTFOLIO HOLDINGS:
Symbol ….. Shares ... Mkt Value ... Total Divs… Gain/Loss 
AAPL ……. 25.37  .… 3,644.38 ….  194.33 ……   116.9%
T     ……..   95.14 ….. 3,953.11 .…. 722.69 …….  59.6%
LNT ……..  142.15 ..…5,630.48 ….. 280.82   …….39.2%
D (T) ..….   71.20 .…..5,523.29 …... 239.18……… 17.4%
ENB   ……. 60.54 .…..2,532.29 …..  22.30 ….…... 0.2%
GIS   …….  16.00 .…..  944.16 …..   0.00 ….…...  (-0.6%)
GPC   ……. 11.00 .…..1,016.51 …..   0.00 ….…... (-7.4%)
IBM   ……. 13.93 .….. 2,426.12 ….. 180.08 ….….   6.1%
JNJ   ……  45.34 .……5,646.97 ….. 255.49 ….….  30.8%
KMB  ……  32.26 .….. 4,245.86 …..  29.44 ….…..  9.9%
KO   …….. 128.45 .….5,451.42 …..  388.71 …...    38.5%
LOW  …… 30.54 .….  2,510.94 …..   40.20 ……..  11.5%
MMP ……..35.50 ….   2,730.31 …... 139.94 ………41.5%
MAT …….. 80.25 ….   2,055.20 …..  639.33 …...   38.9%
MCD …….. 41.52 .….. 5,381.15 ….  905.80 ……. 128.3%
PFE …….. 159.87 .…. 5,469.15 ….  307.49 …….  23.9%
PM   …….. 41.61 .….. 4,697.20 ….  664.18 ……..  66.3%
PG   …….. 62.53 .…..  5,618.41 …..289.20 ……… 14.3%
O (IRA) .... 110.12 .…. 6,555.68 ….. 594.59 ……..  44.7%
OHI (T)…..  85.32 .….. 2,814.77 ….. 234.02 ……..  8.1%
SO (T)..….. 96.29 .….. 4,793.37 ….. 259.05 ……..  10.9%
SPG (IRA)..10.10 .….  1,736.64 …..  17.50 …….. .(-3.5%)
TGT ……..  56.24 .….. 3,137.22 …...122.82 …….. (-26.6%)
UNP   ……. 28.88 .….. 3,058.65 ….. 81.16  ……..  47.3%
VFC ……... 54.42 .….. 2,991.69 ….. 22.68  …….   10.8%
VTR (T)….. 64.56 .….. 4,198.79 ….. 233.86  …….  23.2%
VZ (T) …..  92.11 .….. 4,490.79 ….. 196.38  …….. 23.2%
WEC ……. 63.64 .….. 3,858.17 ….   97.20  …….  10.8%
WPC ……. 24.78 .….  1,542.00 …..  47.78  ……. (-11.8%)
XEL …….. 125.33 .…  5,571.10 ….. 459.54  ……..60.1%
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Dividend Account Value …………....... $114,226.18
GROWTH HOLDINGS:
Symbol ...... Shares …... Mkt Value ….. Divs….      Gain/Loss 
ATRS …..…  500.00  ...... 1,420.00 .…     0   ……. (-29.9%)
AGN  …..….  11.03  .......  2,635.77 .…   7.70 …….  8.9%
CVS  …..….  22.25  .......  1,746.78 .…  20.41 …….(-18.4%)
DIS …..…...  14.20  ……..1,610.48 ...... 20.94  .….  16.7%
FB  …..…...  12.00  .......  1,704.60 .…     0   …….   23.5%
GOOGL…..… 2.00  .......   1,695.60 .…     0   ……..  6.5%
PSTI  …..…  2500.00  ….. 3,075.00 .....    0     .…. (-13.3%)
MA    ……..    28.35 .…..   3,188.30 …... 34.03……. 29.7%
LXP   ……..   187.15 .….. 1,867.73 ……178.00 …..  25.0%
SBUX …..…  48.73 .......   2,845.46 .…   41.44   …..(-0.3%)
STAG……..   119.70 .…..  2,994.89 …...187.35 …….39.3%
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Growth Account Value ………………... $24,784.61
ALTERNATIVE INVESTMENTS:
Summary ............. Shares …... Mkt Value ….. Divs….   Gain/Loss 
Heartland eREIT….. 150.00 .…..  1,500.00 ……0.00 ……. 0%
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Alternative Account Value ………………$1,500.00
CASH ….………………………….….…   $160.73
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Trading and IRA Account Value ......  $140,671.52
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401K Plan - contributing 3% of my salary: matched 100% up to the $3,375 limit.
Actual Allocations
Target Retirement 20%
Fixed Income 0%
US Equity 50% 
International Equity 30% (incl. 10% global REITs)
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401K Account Value …......................  $135,562.52
               [O/S 401K Loan balance………………. (-$47,084.44)]
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Total Portfolio Value ………........ $276,234.04
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SOLD POSITIONS - REALIZED GAINS/LOSSES  (year to date 2017):
DIVIDEND GROWTH
Company ….. Date ..... Gain/Loss ……G/L %....... Reason/Result
None to date in 2017
GROWTH and SPECULATIVE
Company ….. Date ..... Gain/Loss ……G/L %....... Reason/Result
LXP ……...  2/10/17 …  314.69 .…..   34.6% …. Reduce overwgt position, redeploy cash
CLDT …….  1/04/17 ….  55.19 .…...    3.0% …. Eliminate spec position, purchase SPG
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Total Cash Gains for 2017 ……………   $369.88
Total Cash Gains for 2016 ……………...  $3,257.45
Total Cash Gains for 2015 ……………...  $3,455.39
Total Cash Gains for 2014 ……………… $2,156.38
Total Cash Gains for 2013 …………….... $3,064.31  (restated: previously all gains prior to 12/31/13)
Total Cash Gains for 2012 ……………....  $269.67 

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