| RE: OLDER FOLK PORTFOLIO ... UPDATED 2/23/22 
 Portfolio Balance: $5,999,581
 Forward 12 months income: $292,212
 Portfolio yield: 4.87
 Dividend Growth 5 Years: 2.9%
 Holdings: 98
 Beta: 0.55
 
 ** INCOME GROWTH **
 
 2017 - $91,556.12
 2018 - $132,548.54
 2019 - $174,588.90
 2020 - $213,374.56
 2021 - $257,279.04
 
 HOLDINGS: ($65,000 equals a Full Position) - Percentages below do not include CEF's and ETF's.
 
 UTILITIES - 28% of portfolio value.
 
 Southern Company - SO ............... $164,548
 Sempra - SRE ............................... $152,216
 Xcel Energy - XEL ......................... $146,028
 NextEra Energy - NEE .................. $143,917
 Duke Energy - DUK ...................... $135,550
 WEC Energy - WEC ..................... $115,460
 Brookfield Infrastructure - BIPC .... $71,180
 American Electric Power - AEP .... $70,759
 American Water Works - AWK ..... $66,909
 Alliant Energy - LNT ..................... $66,369
 Algonquin Power - AQN ............... $42,085
 Brookfield Renewable - BEP ........ $17,273
 
 CONSUMER STAPLES - 20% of portfolio value.
 
 Procter & Gamble - PG ... $161,283
 Pepsi - PEP .................... $133,725
 Kimberly-Clark - KMB ..... $132,859
 Coca-Cola - KO .............. $131,300
 Altria - MO ...................... $102,497
 General Mills - GIS ......... $81,032
 Unilever - UL ................... $79,928
 J. M. Smucker - SJM ...... $34,636
 
 HEALTHCARE - 13% of portfolio value.
 
 Abbvie - ABBV ..................... $247,437
 Johnson & Johnson - JNJ ... $171,865
 Amgen - AMGN ................... $83,759
 Abbott Laboratories - ABT ... $71,757
 
 FINANCIALS - 11% of portfolio value.
 
 Toronto - Dominion Bank - TD .... $142,728
 Bank of Montreal - BMO ............. $107,352
 Prudential Financial - PRU ......... $83,944
 Royal Bank of Canada - RY ....... $62,319
 Canadian Imperial Bank - CM .... $61,115
 Old Republic Intl. - ORI .............. $31,922
 
 REAL ESTATE - 9% of portfolio value.
 
 Realty Income - O ...... $186,168
 W. P. Carey - WPC ..... $149,234
 Crown Castle - CCI .... $44,301
 
 CONSUMER DISCRETIONARY - 8% of portfolio value.
 
 Home Depot - HD ......... $107,649
 Genuine Parts - GPC ... $105,958
 Target - TGT ................. $79,758
 Leg & Platt - LEG ......... $44,962
 
 COMMUNICATIONS - 4% of portfolio value.
 
 Verizon - VZ ... $110,772
 Telus - TU ....... $49,213
 
 INDUSTRIALS - 3% of portfolio value.
 
 Lockheed Martin - LMT ... $96,836
 General Dynamics - GD .. $16,437
 
 INFORMATION TECHNOLOGY - 2% of portfolio value.
 
 Broadcom - AVGO ............. $53,693
 Texas Instruments - TXN ... $50,686
 
 ENERGY - 1% of portfolio value.
 
 Enbridge - ENB ... $33,647
 
 MATREIALS - 1% of portfolio value.
 
 Air Products and Chemicals - APD ... $18,304
 
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 CEF's and ETF's:
 
 Reaves Utility Income - UTG ............................ $145,435
 DNP Select Income - DNP ................................ $107,067
 PIMCO Corporate Income - PTY ...................... $90,611
 Cohen & Steers REIT - RNP ............................. $80,358
 Virtus AllianzGI AI & Technology - AIO .............. $59,790
 Cohen & Steers Infrastructure - UTF ................ $53,543
 Calamos Strategic Total Return - CSQ ............. $50,798
 Eaton Vance Tax Advantaged - ETO ................. $49,358
 BlackRock Science and Technology - BST ....... $44,957
 John Hancock Tax Advantage Income - HTD ... $43,687
 Liberty All-Star Growth - ASG ............................ $41,319
 Tekla Healthcare Opportunities ......................... $40,869
 Pimco Dynamic Income - PDO .......................... $40,804
 BlackRock Science and Technology II - BSTZ .. $39,618
 Duff & Phelps Utility and Infrastructure - DPG .. $38,571
 Cohen & Steers Quality Income REIT - RQI ..... $36,700
 Eaton Vance Tax Managed Bond - EXD ........... $32,332
 BlackRock Health Sciences II - BMEZ .............. $32,015
 Special Opportunities - SPE ............................. $31,449
 Eagle Point Credit - ECC .................................. $30,695
 Global X NASDAQ 100 Covered Call - QYLD .. $30,050
 Gabelli Dividend & Income - GDV ..................... $28,481
 Global X S&P 500 - XYLD ................................. $28,036
 Global X Russell 2000 - RYLD .......................... $27,823
 Tortoise Energy Infrastructure - TYG ................ $27,417
 BlackRock Health Sciences - BME ................... $27,147
 Ares Dynamic Credit - ARDC ............................ $27,125
 Calamos Dynamic Convertible - CCD ............... $26,924
 Eaton Vance Short Duration - EVG ................... $25,733
 Guggenheim Strategic Opportunities - GOF ..... $23,501
 Eagle Point Income - EIC .................................. $22,810
 John Hancock Financial - BTO ......................... $21,699
 Calamos Global Dynamic Income - CHW ........ $21,599
 AllianzGI Equity & Convertibles - NIE .............. $20,214
 Voya Infrastructure - IDE .................................. $19,569
 Delaware Dividend and Income - DDF ............. $19,311
 BlackRock Enhanced Intl. - BGY ...................... $19,241
 Voya Global Advantage - IGD .......................... $19,191
 Eaton Vance Tax Advantage Global - ETW ...... $18,084
 Gabelli Healthcare -GRX .................................. $17,832
 Voya Global Advantage - IGA ........................... $16,807
 Flaherty & Crumrine Total Return - FLC ........... $16,801
 Eaton Vance Municipal - EIM ............................ $16,267
 Flaherty & Crumrine Preferred - FFC ............... $15,451
 BlackRock Enhanced Income - CII ................... $15,338
 AllianceBernstein Municipal Income - AFB ....... $14,407
 DWS Municipal Income - KTF .......................... $13,773
 Eaton Vance Municipal - EVN .......................... $13,738
 BlackRock Core Bond - BHK ............................ $12,221
 Eaton Vance Enhanced Income - EOI .............. $10,932
 Eaton Vance Tax Managed Diversified - ETY ... $10,750
 Eaton Vance Tax Advantaged - ETV ................. $10,634
 Eaton Vance Enhanced Income II - EOS .......... $9,319
 
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 TOP 10 INCOME PRODUCERS: (% of portfolio income)
 
 UTG - 3.6%
 ABBV - 3.3%
 PTY - 3.1%
 O - 2.9%
 WPC - 2.9%
 DNP - 2.6%
 MO - 2.4%
 SO - 2.4%
 RNP - 1.9%
 DUK - 1.9%
 
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 PORTFOLIO HIGHLIGHTS - YEAR TO DATE:
 
 TYG increased the distribution 58%
 ECC increased the distribution 17%
 HD increased the dividend 15%
 NEE increased the dividend 10%
 GPC increased the dividend 9.8%
 APD increased the dividend 8%
 PEP increased the dividend 7.0%
 XEL increased the dividend 6.6%
 LNT increased the dividend 6.2%
 BIPC increased the dividend 5.9%
 BEP increased the dividend 5.3%
 KO increased the dividend 4.8%
 PRU increased the dividend 4.3%
 EIC increased the distribution 4.2%
 SPE increased the dividend 2.3%
 KMB increased the dividend 1.8%
 EVG increased the distribution 0.18%
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