Dividendy 20

Portfolio from www.winpes.cz

Portfolio Value

Stock (20 stocks) Shares Current price Cost Basis Current Value XIRR Yield on Cost Avg DGRMin DGR
Total: $99134.30 $123329.70 9.87% 3.69% 5.55%
Caterpillar, Inc. (CAT) 66 $131.96 $4925.58 $8709.03 21.77% 5.52% 11.12% 5.76%
Colgate-Palmolive Co. (CL) 70 $68.02 $4965.80 $4761.05 1.31% 2.42% 6.36% 3.44%
Chevron Corp. (CVX) 52 $116.56 $4952.48 $6060.86 10.43% 5.00% 4.30% 1.55%
The Walt Disney Co. (DIS) 51 $130.10 $4909.77 $6635.36 10.49% 1.83% 13.40% 7.89%
General Electric Co. (GE) 162 $8.80 $4975.02 $1424.79 -26.70% 0.13% -4.16% -12.62%
International Business Machines Corp. (IBM) 33 $132.87 $4925.25 $4384.71 1.25% 4.34% 10.32% 0.10%
Johnson & Johnson (JNJ) 45 $128.42 $4903.65 $5778.90 7.82% 3.49% 7.57% 6.27%
The Coca-Cola Co. (KO) 107 $54.26 $4969.08 $5805.28 7.65% 3.45% 7.22% 5.73%
Lockheed Martin Corp. (LMT) 22 $373.53 $4942.30 $8217.66 18.80% 3.92% 12.89% 10.06%
McDonald's Corp. (MCD) 39 $210.28 $4974.84 $8200.72 18.24% 3.64% 10.81% 6.81%
3M Co. (MMM) 30 $165.26 $4997.70 $4957.80 2.84% 3.46% 11.58% 8.57%
Microsoft Corp. (MSFT) 92 $138.08 $4996.52 $12702.90 32.91% 3.39% 12.18% 10.10%
PepsiCo, Inc. (PEP) 47 $136.44 $4902.10 $6412.44 10.96% 3.66% 9.60% 8.65%
Procter & Gamble Co. (PG) 60 $118.66 $4963.80 $7119.30 14.14% 3.61% 4.52% 2.58%
Philip Morris International, Inc. (PM) 49 $81.49 $4916.17 $3993.01 -1.10% 4.55% 6.75% 5.24%
AT&T, Inc. (T) 130 $38.28 $4990.70 $4977.05 5.16% 5.31% 2.36% 2.08%
Target Corp. (TGT) 62 $113.54 $4945.74 $7039.48 13.59% 3.31% 11.34% 5.29%
Vodafone Group Plc (VOD) 155 $20.56 $4991.00 $3187.58 -5.89% 2.82% 6.01% 2.92%
Walmart, Inc. (WMT) 74 $119.57 $4987.60 $8848.18 20.51% 3.15% 5.79% 2.00%
Exxon Mobil Corp. (XOM) 60 $68.56 $4999.20 $4113.60 -1.36% 4.18% 6.86% 3.90%
Total: $99134.30 $123329.70 9.87% 3.69% 5.55%