Hello,
I'm going to dedicate a portion of my portfolio to increasing dividend yields.
I'm planning to buy 20% of my portfolio (about €2500 for the project) 15-30 days before the ex-dividend date, and sell it 15-30 days later (optimal compared to selling after dividend yield)*
*stock conditioned to continue in portfolio if the profit is adequate...
I'm planning to add the following stocks for May:
a. Asr Nederland $ASRNL (-0,37 %)
b. NN Group $NN (-0,27 %)
c. Telenor $TEL (-0,72 %) (NO BOUGHT)
d. Cofinimmo $COFB (-2,23 %)
e. Solvay $SOLB (+3,37 %)
f. Italgas $IG (-1,97 %)
g. Eon $EOAN (-4 %)
I'll monitor the performance in a month.
Any suggestions for improving this strategy?
PS.
I currently have several stocks in my portfolio that pay dividends this month, which are also would be included in the project.
A. Bouygues $EN (-1,36 %) (SOLD)
B. Axa $CS (-2,21 %) (SOLD)
C. Bam Group $BAMNB (-3,66 %)
D. Freenet $FNTN (-1,74 %)
E. Tesco $TSCO (-2,23 %)
F. Eni $ENI (+1,8 %)
G. Intesa $ISP (-0,19 %)
H. Generali $G (-0,53 %)
I. Mapfre $MAP (-1,91 %)