2015 Dividend Portfolio

Here is my 2015 starting dividend portfolio. In the past year I added the following individual stocks to my dividend portfolio: AAPL, CIM, KMI, NLY, O, PCG, and TGT. I have also added the following ETsF: VOO, XLF, and XLU. Some of you might have wondered why I added VOO to my portfolio when I already have SPY. The reason is that VOO has a lower expense ratio and it invest dividends in a low risk investment before distribution each quarter, where as SPY does not.

2015 Dividend Portfolio (1/1/2015)
TICKER PRICE QTY MKT VAL YLD
Individual stocks
AAPL 110.38 40 4,415.20 1.74
AGNC 21.83 168 3,667.44 11.95
BP 38.12 100 3,812.00 6.68
CIM 3.18 288 915.84 11.04
CSCO 27.63 100 2,763.00 2.78
CVX 112.18 20 2,243.60 3.97
IVR 15.46 88 1,360.48 11.51
KMI 42.31 50 2,115.50 4.25
KRFT 62.66 20 1,253.20 3.48
NLY 10.81 388 4,194.28 10.97
O 47.71 50 2,385.50 4.31
PCG 53.24 50 2,662.00 3.33
PFE 31.15 160 4,984.00 3.52
T 33.59 100 3,359.00 5.67
TGT 75.91 60 4,554.60 2.71
ETF
DIA 177.88 20 3,557.60 1.97
QQQ 103.25 83 8,569.75 1.07
SPY 205.54 25 5,138.50 1.90
VOO 184.62 5 923.10 2.17
VWO 40.02 60 2,401.20 2.88
XLF 24.73 100 2,473.00 1.65
XLU 47.22 50 2,361.00 3.18
Bonds
HYD 30.85 200 6,170.00 4.92
BCHYX 10.39 542 5,631.38 3.85
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