Friday, October 27, 2017

Portfolio “Update”

I sold all of my MAT (Mattel) and took a small position in M (Macy’s). Ordered by largest position to smallest.....

PG (Procter & Gamble)
PEP (PepsiCo)
WBA (Walgreen Boots Alliance)
MMM (3M)
GPC (Genuine Parts Company)
VZ (Verizon)
IBM (International Business Machines)
T (AT&T)
KO (Coca Cola)
ADP (Automatic Data Processing)
HAS (Hasbro)
KMB (Kimberly Clark)
GIS (General Mills)
HPQ (Hewlett-Packard)
SYY (Sysco)
K (Kellogg)
DPS (Dr. Pepper Snapple)
M (Macy’s)
GNMA (6% Bonds)

This portfolio represents about 25% of my assets, about 15% is a home mortgage, about 2% precious metals and collectibles, and the rest are CDs.

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