T - 7.48% IBM - 4.76% ABBV - 4.51% VZ - 4.49% WBA - 4.19% PFG - 3.96% PFE - 3.89% SNY - 3.77% C - 3.13% KO - 3.01% LMT - 2.80% CSCO - 2.79% SAP - 2.76% INTC - 2.53% JNJ - 2.52% RTX - 2.44% MCD - 2.20% QCOM - 1.95% BLK - 1.89% WMT - 1.55% SBUX - 1.52% ORCL - 1.46% ACN - 1.13%
Seems boring
No MSFT
Not very diversified
Put it on bogleheads.
friggin’ CISCO?
Feel like you are missing some big dividend sectors- electric/gas utilities and reit’s come to mind. Also in some industries you have 2 or 3 stocks- this could give you more exposure to that sector then you might realize if these are all equal weight.
Ok Boomer
HA! T?
Nice. How do you invest in these stocks? Monthly or yearly ?