Monthly update: I see David Van Knapp got to his 10% YOC last month. Instead of 10 years, it took 11 years 11 months.
As long as I stay above my 20k income goal, I'm not planning to add to that side.
Up 3.8% for the year as of tonight, and it didn't come from the income side.
Month end: Non-income producing shares: $139,071 / 32.23% of portfolio. Cash +$1,746 = $140,817 / 32.63% non income producing.
Object is to have $20k available Jan. 1st 2021 for withdrawal without selling any income stocks.
End of month holdings non income: Listed at end.
Investment / CurrentValue / PriorValue / PeriodChange %Change /EstimatedIncome /EstimatedYield
Apr. Total.. $391,247.37.... $315,896.07..... $75,351.30......23.9%.... $25,311.80.... 6.5 May Total.. $431,455.25.... $391,247.37..... $40,207.88..... 10.3%.... $22,860.69.... 5.3
YOC: 12.8% = $22,860 / $178,518
Income goal established 1/1/2013: Income needs to be:
2014 $14,120 2015 $14,825 2016 $15,350 2017 $16,110 / $18,157 / +12.7% 2018 $16,915 / $18,938 / +11.9%
2020 $20,000 / $22,860
Since Jan. 1, 2020:
S+P 500 3231 to 2912 =…...…...-3.34% My IRA $434,148 to $431,455 = -.062%
Since inception Jan. 1, 2010:
Now using this for long term S+P return w/dividend reinvest: dqydj.com
S+P 500 Since Jan. 1, 2010 =.....+210% My IRA $178,517 to $431,455......+141%
Bottom line, estimated income:
End Jan. 2010 $11,134 End Dec. 2010 $13,160 End Dec. 2011 $14,836 End Dec. 2012 $17,371 End Dec. 2013 $18,563 End Dec. 2014 $22,093 End Dec. 2015 $18,514 End Dec. 2016 $20,984 End Dec. 2017 $18,157 End Dec. 2018 $18,938 End Dec. 2019 $23,120
End Feb. 2020 $22,860
Actual dividends received:
2010 total: $12,317 2011 total: $14,160 2012 total: $16,497 2013 total: $19,421 2014 total: $20,564 2015 total: $19,565 2016 total: $17,634 2017 total: $19,328 2018 total: $17,700 2019 total: $20,914 2020 total: $10,065
Trades:
05/01/2020 09:31:20 Bought 100 NEO @ 26.9403 -2,694.03 05/01/2020 09:51:34 Bought 100 PRFT @ 33.55 -3,355.00 05/01/2020 12:02:35 Bought 100 NEO @ 26.507 -2,650.70 05/07/2020 09:37:11 Bought 500 SNGX @ 1.6119 -805.95 05/08/2020 09:54:54 Bought 104 CIO PRA @ 20.34 -2,115.36 05/08/2020 09:54:54 Bought 96 CIO PRA @ 20.3 -1,948.80 05/08/2020 10:17:21 Bought 500 SNGX @ 1.6 -800.00 05/08/2020 10:18:34 Bought 500 VXRT @ 2.5398 -1,269.90 05/08/2020 10:46:48 Bought 500 VXRT @ 2.52 -1,260.00 05/08/2020 15:38:05 Sold 1770 AIRI @ 1.0538 1,864.98 05/11/2020 10:24:25 Bought 200 NH @ 2.49 -498.00 05/11/2020 10:37:44 Sold 500 RVP @ 5.95 2,974.87 05/11/2020 10:54:35 Bought 300 ELA @ 4 -1,200.00 05/11/2020 10:56:44 Bought 200 RVP @ 5.76 -1,152.00 05/11/2020 13:10:02 Bought 250 NH @ 2.29 -572.50 05/11/2020 13:38:27 Bought 500 ATEC @ 4.575 -2,287.50 05/11/2020 14:03:22 Sold 1150 JMF @ 1.4487 1,666.01 05/11/2020 15:28:12 Bought 300 RVP @ 5.3399 -1,601.97 05/11/2020 15:48:01 Sold 100 PRFT @ 33.9724 3,397.15 05/11/2020 15:52:23 Bought 1000 SNGX @ 1.61 -1,610.00 05/12/2020 09:59:29 Bought 500 VXRT @ 3.045 -1,522.50 05/12/2020 15:16:48 Bought 500 NH @ 2.22 -1,110.00 05/12/2020 15:46:54 Sold 200 NEO @ 27 5,399.86 05/12/2020 15:50:28 Bought 300 OESX @ 4.7588 -1,427.64 05/12/2020 15:52:49 Bought 300 RVP @ 5.21 -1,563.00 05/12/2020 15:58:05 Bought 300 ELA @ 4.065 -1,219.50 05/13/2020 10:10:32 Bought 300 ELA @ 3.525 -1,057.50 05/13/2020 11:47:02 Sold 50 TQQQ @ 70 3,499.91 05/13/2020 11:54:12 Bought 500 RVP @ 4.4655 -2,232.75 05/13/2020 12:07:04 Bought 14 TSCO @ 106.4199 -1,489.88 05/14/2020 14:39:20 Sold 500 RVP @ 5.08 2,539.88 05/14/2020 14:42:43 Bought 500 GNSS @ 4.1689 -2,084.45 05/28/2020 10:09:30 Sold 500 PRPLW @ 2.6 1,292.95 05/28/2020 14:35:04 Bought 500 CJJD @ 2.82 -1,410.00 05/28/2020 15:26:45 Bought 400 CJJD @ 2.62 -1,048.00
Dividends:
05/01/2020 02:11:40 ORDINARY DIVIDEND (JMF) 66.70 05/01/2020 02:15:31 ORDINARY DIVIDEND (ERH) 44.53 05/15/2020 00:00:01 ORDINARY DIVIDEND (SKT) 143.00 05/15/2020 00:00:01 PARTNERSHIP DISTRIBUTION (ETP PRE) 95.00 05/15/2020 00:00:01 ORDINARY DIVIDEND (FDEU) 54.00 05/15/2020 00:00:01 PARTNERSHIP DISTRIBUTION (GLP PRA) 121.88 05/15/2020 00:00:01 QUALIFIED DIVIDEND (KMI) 26.25 05/15/2020 12:03:54 QUALIFIED DIVIDEND (CPLP) 45.15 05/18/2020 00:00:01 QUALIFIED DIVIDEND (SYX) 14.00 05/20/2020 00:00:01 QUALIFIED DIVIDEND (CDR PRC) 81.25 05/21/2020 00:00:01 ORDINARY DIVIDEND (GGN) 97.50 05/22/2020 00:00:01 ORDINARY DIVIDEND (AWF) 26.20 05/29/2020 00:00:01 ORDINARY DIVIDEND (UTG) 129.42 05/29/2020 00:00:01 ORDINARY DIVIDEND (AGD) 99.13 05/29/2020 00:00:01 QUALIFIED DIVIDEND (AWP) 24.00 05/29/2020 00:00:01 QUALIFIED DIVIDEND (CORR PRA) 46.09 05/29/2020 00:00:01 ORDINARY DIVIDEND (FGB) 222.75
Holdings:
Investment Description CUSIP Quantity Price Value Date Basis Cost Gain(Loss) Income Yield
ABERDEEN GLOBAL DYNAMIC DIVIDE COM AGD 1,525 8.61 13,130.25 09/16/16 13,822.43 9.06 (692.18) 1,189.50 9.1% ABERDEEN GLOBAL PREMIER PPTTS COM SH BEN INT AWP 600 4.59 2,754.00 08/10/17 3,747.34 6.25 (993.34) 288.00 10.5% AG MTG INVEST TRUST INC 8% PRF SER B USD25 MITT PRB 200 10.38 2,076.00 12/13/18 4,986.87 24.93 (2,910.87) 400.00 19.3% AGNC INVESTMENT CORP 6.5% DEP SHS REP 1/1000 CUM AGNCO 200 22.35 4,470.00 09/27/19 4,986.95 24.93 (516.95) 325.00 7.3% ALLIANCEBERNSTEIN GLOBAL HGH I COM AWF 400 10.24 4,096.00 10/05/16 4,985.54 12.46 (889.54) 314.40 7.7% ALPHATEC HLDGS INC COM ATEC 500 4.45 2,225.00 05/11/20 2,287.50 4.58 (62.50) - - ARBOR REALTY TRUST INC COM ABR 757.415 8.42 6,377.43 07/27/18 8,411.85 11.11 (2,034.42) 901.32 14.1% ASHFORD HOSPITALITY TRUST INC 7.375% PFD CUM SER F USD25 AHT PRF 300 7.76 2,328.00 07/30/18 7,242.95 24.14 (4,914.95) 553.20 23.8% BLUEROCK RESIDENTIAL GROWTH RE REDEEMABLE PFD SER A % BRG PRA 150 23.47 3,520.50 04/20/16 3,743.80 24.96 (223.30) 309.45 8.8% BRAEMAR HOTELS & RESORTS INC 8.25% CUM PRF STK SER D USD BHR PRD 200 14.635 2,927.00 11/28/18 4,565.23 22.83 (1,638.23) 412.40 14.1% CAI INTERNATIONAL INC 8.5% SER A FXD FLOAG RATE CAI PRA 150 24.78 3,717.00 07/31/18 3,798.16 25.32 (81.16) 318.75 8.6% CAPITAL PRODUCT PARTNERS L P PARTNERSHIP UNITS CPLP 129 8.11 1,046.19 03/03/16 2,435.00 18.88 (1,388.81) 180.60 17.3% CEDAR REALTY TRUST INC 6.5% CUM RED PRF SER C CDR PRC 200 13.70 2,740.00 06/11/19 4,509.07 22.55 (1,769.07) 325.00 11.9% CHATHAM LODGING TRUST COM CLDT 200 6.75 1,350.00 03/18/20 800.00 4.00 550.00 - - CITY OFFICE REIT INC COM CIO 400 9.28 3,712.00 04/07/16 4,963.32 12.41 (1,251.32) 240.00 6.5% CITY OFFICE REIT INC PRF CUM REDM PFD SER A CIO PRA 200 21.91 4,382.00 05/08/20 4,064.16 20.32 317.84 331.20 7.6% CLEARWAY ENERGY INC COM CL C CWEN 300 21.91 6,573.00 12/31/19 6,124.59 20.42 448.41 246.00 3.7% COMPASS DIV HOLDINGS 7.875%FXD FLTG RAT CUM SR B CODI PRB 200 23.13 4,626.00 11/30/18 3,910.95 19.55 715.05 393.80 8.5% CORENERGY INFRASTRUCTURE TRUST DEP SH REP 1/100 PFD SER A CORR PRA 100 17.60 1,760.00 11/01/18 2,426.47 24.26 (666.47) 184.40 10.5% CRH MEDICAL CORP COM CRHM 400 1.93 772.00 12/30/19 1,506.12 3.77 (734.12) - - DCP MIDSTREAM LP 7.875%CUM RED FIX FLT RATE DCP PRB 200 19.19 3,838.00 07/27/18 5,062.95 25.31 (1,224.95) 393.80 10.3% ENERGY TRANSFER OPERATING L P FIX TO FLTG CUM RED PERP PR ETP PRE 200 22.10 4,420.00 06/11/19 4,912.95 24.56 (492.95) 380.00 8.6% ENPHASE ENERGY INC COM ENPH 1,000 58.19 58,190.00 11/14/17 6,036.51 6.04 52,153.49 - - ENVELA CORPORATION COM ELA 900 3.59 3,231.00 05/11/20 3,477.00 3.86 (246.00) - - EXANTAS CAPITAL CORP 8.625% CUM RED FXD TO FLOAT XAN PRC 250 10.51 2,627.50 12/13/18 6,276.10 25.10 (3,648.60) - - FIRST TR DYNAMIC EUROPE EQY IN COM SHS FDEU 900 10.07 9,063.00 05/13/19 11,965.31 13.29 (2,902.31) 648.00 7.2% FIRST TRUST SPECIALTY FINANCE COM BEN INTR FGB 1,650 3.70 6,105.00 03/01/17 11,045.68 6.69 (4,940.68) 891.00 14.6% FLEXSHOPPER INC COM FPAY 600 1.58 948.00 02/18/20 1,659.00 2.77 (711.00) - - FORD MOTOR CO COM F 500 5.71 2,855.00 10/02/19 3,565.95 7.13 (710.95) - - GABELLI GLOBAL GOLD NATURAL RE COM SH BEN INT GGN 1,950 3.40 6,630.00 10/14/19 8,313.68 4.26 (1,683.68) 702.00 10.6% GASLOG PARTNERS LP 8.5%CUM RED PREP FXD FLTG GLOP PRC 200 17.60 3,520.00 11/14/18 4,926.95 24.63 (1,406.95) 425.00 12.1% GENASYS INC COM GNSS 700 4.58 3,206.00 02/20/20 2,743.27 3.92 462.73 - - GLOBAL PARTNERS LP 9.75%CUM RED PER FIX TO FLT GLP PRA 200 23.47 4,694.00 03/08/19 4,991.96 24.96 (297.96) 487.60 10.4% HERSHA HOSPITALITY TRUST 6.5% PFD CUM RED 31/12/49 D HT PRD 200 11.75 2,350.00 05/14/19 4,701.95 23.51 (2,351.95) - - IMMUNOGEN INC COM IMGN 200 4.68 936.00 02/18/20 1,235.61 6.18 (299.61) - - INTELLICHECK INC COM IDN 500 6.14 3,070.00 06/11/19 3,540.10 7.08 (470.10) - - IRON MOUNTAIN INC COM IRM 621 25.76 15,996.96 01/12/18 19,669.62 31.67 (3,672.66) 1,536.35 9.6% ISORAY INC COM ISR 500 0.719 359.50 02/13/20 464.95 0.93 (105.45) - - KINDER MORGAN INC COM KMI 100 15.80 1,580.00 03/10/20 1,520.00 15.20 60.00 105.00 6.6% KONTOOR BRANDS INC COM KTB 150 14.62 2,193.00 06/19/19 4,133.45 27.56 (1,940.45) - - LADDER CAPITAL CORP CL A LADR 724.586 7.95 5,760.46 08/02/18 9,508.93 13.12 (3,748.47) 579.67 10.1% MARATHON PETROLEUM CORP COM MPC 500 35.14 17,570.00 02/04/19 25,347.17 50.69 (7,777.17) 1,160.00 6.6% MEDICAL PROPERTIES TRUST INC COM MPW 1,450 18.08 26,216.00 01/17/06 14,100.00 9.72 12,116.00 1,566.00 6.0% MICROBOT MEDICAL INC COM MBOT 100 7.55 755.00 01/06/20 1,184.00 11.84 (429.00) - - MILESTONE SCIENTIFIC INC COM MLSS 500 1.84 920.00 01/31/20 911.44 1.82 8.56 - - MOELIS & COMPANY COM CL A MC 100 33.63 3,363.00 01/03/20 3,129.00 31.29 234.00 102.00 3.0% NANTHEALTH INC COM NH 950 2.64 2,508.00 05/11/20 2,180.50 2.30 327.50 - - NATIONAL STORAGE AFFILIATES TR COM SHS BEN IN NSA 100 30.01 3,001.00 12/26/19 3,279.99 32.80 (278.99) 132.00 4.4% NEWTEK BUSINESS SERVICES CORP COM NEW NEWT 400 17.16 6,864.00 07/31/18 8,399.46 21.00 (1,535.46) 876.00 12.8% NGL ENERGY PARTNERS LP 9% CUM RED PFD REP LTD PTNR NGL PRB 200 17.30 3,460.00 06/27/19 4,999.47 25.00 (1,539.47) 450.00 13.0% ORION ENERGY SYSTEMS INC COM OESX 500 4.48 2,240.00 12/31/19 2,097.64 4.20 142.36 - - PENNSYLVANIA REAL ESTATE INVES SH BEN INT PEI 200 1.13 226.00 04/19/18 1,874.38 9.37 (1,648.38) 16.00 7.1% PENNSYLVANIA REAL ESTATE INVES 7.2% CUM RED PFD SER C PEI PRC 100 5.97 597.00 11/01/18 2,222.13 22.22 (1,625.13) 180.00 30.2% PENNYMAC MTG INVEST TRUST 8% FXD FLTG CUM RED PFD B PMT PRB 100 22.03 2,203.00 06/30/17 2,491.95 24.92 (288.95) 200.00 9.1% PHILLIPS 66 COM PSX 63 78.26 4,930.38 02/06/20 5,604.89 88.97 (674.51) 226.80 4.6% RADA ELECTRONICS INDUSTRIES COM RADA 1,500 5.00 7,500.00 10/08/19 7,853.16 5.24 (353.16) - - REAVES UTILITY INCOME FD COM SH BEN INT UTG 719 33.33 23,964.27 01/03/14 19,256.92 26.78 4,707.35 1,553.04 6.5% REPRO MEDSYSTEMS INC COM KRMD 450 10.12 4,554.00 01/06/20 3,127.50 6.95 1,426.50 - - RETRACTABLE TECHNOLOGIES INC COM RVP 2,800 5.44 15,232.00 11/11/19 5,057.64 1.81 10,174.36 - - ROYAL CARIBBEAN CRUISES COM RCL 140 51.87 7,261.80 02/24/20 6,413.20 45.81 848.60 436.80 6.0% SCHWAB STRATEGIC TR US DIVIDEND EQ ETF SCHD 100 52.52 5,252.00 03/12/20 4,407.00 44.07 845.00 181.40 3.5% SEACHANGE INTERNATIONAL INC COM SEAC 1,550 1.89 2,929.50 12/19/19 6,512.39 4.20 (3,582.89) - - SFL CORPORATION LTD COM SFL 300 9.92 2,976.00 07/05/16 4,238.73 14.13 (1,262.73) 300.00 10.1% SOLIGENIX INC COM SNGX 2,000 1.91 3,820.00 05/07/20 3,215.95 1.61 604.05 - - SOTHERLY HOTELS INC 7.875% CUM RED PER PFD SHS SOHOO 225 8.18 1,840.50 11/05/18 5,631.31 25.03 (3,790.81) - - SUNWORKS INC COM SUNW 258 0.45 116.10 05/15/19 1,492.53 5.79 (1,376.43) - - SYSTEMAX INC COM SYX 100 20.99 2,099.00 03/02/20 2,065.00 20.65 34.00 56.00 2.7% TANGER FACTORY OUTLET CENTERS COM SKT 400 6.15 2,460.00 12/23/19 5,845.00 14.61 (3,385.00) - - THE CHEMOURS COMPANY LLC COM CC 150 13.11 1,966.50 10/08/19 2,073.00 13.82 (106.50) 150.00 7.6% TRACTOR SUPPLY CO COM TSCO 179 122.02 21,841.58 02/20/20 15,722.53 87.84 6,119.05 250.60 1.1% TRITON INTL LTD 8.5% CUM RED PRF SHS SR A TRTN PRA 150 24.85 3,727.50 03/14/19 3,753.95 25.03 (26.45) 318.75 8.6% TRITON INTL LTD 8% CUM RED PERP PRF SHS SER TRTN PRB 200 24.20 4,840.00 06/18/19 4,992.95 24.96 (152.95) 400.00 8.3% TWO HARBORS INVESMENT CORP 7.75% CUM RED PFD STK SER D TWO PRD 200 21.62 4,324.00 05/14/19 5,006.83 25.03 (682.83) 387.60 9.0% U M H PROPERTIES INC 6.75% CUM RED PFD SER C UMH PRC 200 23.81 4,762.00 05/14/19 4,924.95 24.62 (162.95) 337.60 7.1% VAXART INC COM VXRT 1,500 2.68 4,020.00 05/08/20 4,052.40 2.70 (32.40) - - WELLS FARGO UTILITIES AND HIGH WF UTILITIES INC ERH 550 13.36 7,348.00 03/12/20 6,103.57 11.10 1,244.43 518.65 7.1% PURPLE INNOVATION INC WARRANT EXP 02/02/2023 PRPLW 2,300 2.55 5,865.00 02/13/20 4,074.08 1.77 1,790.92 - -
Non income producing. Actual, not from statement:
CETX 900 CJJD 2200 CLDT 400 Bought after dividend stopped CRHM 400 ENPH 1147 F 500 FPAY 600 GNSS 700 HT-D 200 IDN 500 IMGN 200 ISR 500 KRMD 450 KTB 150 MBOT 100 MLSS 500 NH 950 OESX 500 PRPLW 1000 RADA 1500 RVP 1000 SEAC 1550 SKT 400 SNGX 2000 SOHOO 225 SUNW 258 VRML 500 VXRT 1500 XAN-C 250 |