william the wie
Gold Member
- Nov 18, 2009
- 16,667
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Market correlation with individual stocks is @ 90%. I already restrict myself to beta> 1 and either high dividend yield or high dividend growth. But I ran the numbers for issues that are both high yield and high growth and found out that I could reduce my portfolio size. So, I could:
Keep closer track on what was happening with each issue.
Increase my reinvestment rate.
And improve the probability that my issues would reach the lowest dividend classification of two consecutive years with an increasing yield and really pop.
Comments?
Keep closer track on what was happening with each issue.
Increase my reinvestment rate.
And improve the probability that my issues would reach the lowest dividend classification of two consecutive years with an increasing yield and really pop.
Comments?