Modes68
Edited
My portfolio invests with a mixed strategy to generate monthly income: ✔️ 70% Dividend strategy. Investment in shares with high dividend yield with a long-term objective, income is generated with periodic dividend collections that are then reinvested. ✔️15% Seasonal strategy. Speculative strategy using an algorithm that consists of buying and selling specific assets on specific dates that repeat each year on the calendar and that have consistently provided benefits in recent years. The investment horizon is 1 to 8 weeks and the income is generated at the close of the operation ✔️15% Swing trading strategy. Speculative strategy using an algorithm that consists of buying when a specific oversold technical pattern is formed and selling when a positive volume technical pattern (PVI) is formed. The investment horizon is 8 weeks on average and income is generated at the close of the operation. This year the income obtained (*) is distributed as follows, more details see the graph: 59% of income comes from the dividend strategy 20% of revenue comes from seasonal strategy 21% of income comes from swing trading strategy (*) Income refers exclusively to dividends already received and operations already closed. If you want to see in more detail how my strategy works you can look at it here.- sites.google.com/view/modes68sp/home Some assets from my portfolio.- $VBK, $FI (Fiserv Inc), $V (Visa), $UNH (UnitedHealth), $WSO (Watsco Inc)