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Strategies & Market Trends : Dividend investing for retirement -- Ignore unavailable to you. Want to Upgrade?


To: Steve Felix who wrote (22401)4/2/2015 4:11:34 PM
From: JimisJim1 Recommendation

Recommended By
Mr.Peabody

  Read Replies (2) | Respond to of 34328
 
Thanks, Steve... I need to get off my butt and post similar recaps at least once a quarter... I have all of the info, just need to pull it all into one place (I have 5 different spreadsheets for the various accts.), and I have a not-quite-up-to-date combined table of all holdings in IRAs as well as my watch list(s) for them in Yahoo, but lately Yahoo has been too flaky and sometimes can't access my PF stuff there, so I need to aggregate it all into some other form/format -- I used Yahoo for so long because it used to be very convenient and easy to keep updated, but seems like more and more online stuff I rely on is changing just for the sake of change and typically becomes "prettier" (in some web designer's opinion), but less useful, IMO... even TD and FIDO have been screwing around with their sites and although the "look" is updated, etc., I actually find them less useful because the new presentations actually display less information at a time than the old presentations/designs did, so I found the links that change them back to the old display style... sheesh...



To: Steve Felix who wrote (22401)4/20/2015 1:55:20 PM
From: Bocor  Read Replies (1) | Respond to of 34328
 
  • NorthStar Asset Management (NYSE: NSAM) announces a $400M repurchase program over the next twelve months, which would be good for about 10% of the float at today's pricing.
  • The stock's ahead by 7.5% since being spun out of NorthStar Realty Finance (NYSE: NRF) last summer, but lower by nearly 20% since NRF issued 60M shares six weeks ago (which theoretically should have been good news for NSAM).



  • To: Steve Felix who wrote (22401)5/3/2015 7:10:20 PM
    From: Steve Felix2 Recommendations

    Recommended By
    JimisJim
    Stormwatch17

      Read Replies (1) | Respond to of 34328
     
    Monthly update end of April

    ...............Current Value Prior Value Period Change %Change Estimated Income Estimated Yield

    March Totals $354,170.83.. $361,345.01.. ($7,174.18).. (2.0)%.. $20,735.91..... 5.9%
    April Totals... $355,978.30...$354,170.83.. $1,807.47........0.5%...$20,970.94.....5.9%

    Since Jan. 1, 2015:

    Nasdaq 4727 to 4941 =................ +4.53%
    My IRA $344,503 to $355,978 = .. +3.33%
    S+P 500 2058 to 2086 =.............. +1.36%
    DVK SS $81,250 to $81,346 =...... +.19%
    Dow 17833 to 17841 = ................ .0%
    BRK.A $223,600 to $217,500 =...... -4.56%

    Since inception Jan. 1, 2010:

    Nasdaq 2269 to = 4941 ............. +122.46 (includes total 4.70 yield for 2010 thru 2014 )
    BRK.A 99,200 = to $213,400 = ...+115.12%
    My IRA $178,517 to $355,978 = +99.48%
    S+P 500 1115 to 2086 =............ +96.28% (includes total 9.19 yield for 2010 thru 2014 )
    DVK SS $41,706 to $81,346 =... +95.05%
    Dow 10428 to = 17841 ...............+82.54% (includes total 11.45 yield for 2010 thru 2014 )

    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 Apr. 2015 $20,970

    March dividends: $1454.

    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: $7,114

    Dividends:

    04/30/2015 00:00:01 QUALIFIED DIVIDEND (GRH PRC) 22.92 ---
    04/30/2015 00:00:01 QUALIFIED DIVIDEND (BGS) 57.80 ---
    04/30/2015 00:00:01 QUALIFIED DIVIDEND (GST PRA) 17.97 ---
    04/30/2015 00:00:01 QUALIFIED DIVIDEND (MHR PRD) 233.31 ---
    04/30/2015 00:00:01 QUALIFIED DIVIDEND (MHR PRC) 42.70 ---
    04/30/2015 00:00:01 ORDINARY DIVIDEND (UTG) 15.13 ---
    04/30/2015 00:00:01 ORDINARY DIVIDEND (LTC) 51.00 ---
    04/28/2015 00:00:01 QUALIFIED DIVIDEND (LTS PRA) 16.67 ---
    04/24/2015 00:00:01 QUALIFIED DIVIDEND (AMNF) 18.00 ---
    04/23/2015 00:00:01 ORDINARY DIVIDEND (PSEC) 83.33 ---
    04/17/2015 00:00:01 PARTNERSHIP DISTRIBUTION (BBEP) 16.66 ---
    04/15/2015 13:17:19 QUALIFIED DIVIDEND (NM PRH) 53.91 ---
    04/15/2015 00:00:01 ORDINARY DIVIDEND (O) 170.55 ---
    04/15/2015 00:00:01 QUALIFIED DIVIDEND (OXY) 181.44 ---
    04/10/2015 01:06:20 QUALIFIED DIVIDEND (MO) 104.00 ---
    04/10/2015 01:04:13 QUALIFIED DIVIDEND (PM) 50.00 ---
    04/09/2015 01:06:52 ORDINARY DIVIDEND (MPW) 319.00 ---

    Trades:

    04/30/2015 10:02:30 Bought 12 OHI @ 36.2399 -442.88 ---
    04/27/2015 14:58:49 Bought 26 OHI @ 37.67 -987.42 ---
    04/02/2015 14:42:56 Bought 133 KMI WS @ 3.9599 -534.67 ---
    04/01/2015 10:12:04 Bought 100 LTS PRA @ 24.0098 -2,408.98 ---
    04/01/2015 10:10:56 Bought 20 PM @ 75.55 -1,519.00 ---
    04/01/2015 09:49:20 Sold 112 CRR @ 30.52 3,410.17 ---

    2015 trading costs $512

    Holdings - cash $30

    Expendables
    Symbol

    Company Name

    # of shares held

    Annual Dividend per share

    Total dividend

    Yield

    BBEP

    Breitburn Energy Partners L.P.

    400

    .50

    200

    9.12%

    CCLP

    CSI Compressco LP

    200

    1.94

    388

    10.2%

    CLMT

    Calumet Specialty Products Partners LP

    274

    2.74

    751

    10.8%

    CQP

    Cheniere Energy Partners LP.

    200

    1.70

    340

    5.7%

    GRH-PC

    GreenHunter Resources, Inc. 10%

    110

    2.50

    275

    13%

    GST-PA

    Gastar Exploration 8.625% Series

    100

    2.16

    216

    9.9%

    KMI-WS

    Kinder Morgan Warrants

    393

    0

    0

    0

    LTS-A

    Ladenburg Thalmann Financial Pref A

    100

    2.00

    200

    8.13

    MEMP

    Memorial Production Partners LP

    200

    2.20

    440

    13%

    MHR-PC

    Magnum Hunter Resources Corporation C

    200

    2.56

    512

    12%

    MHR-PD

    Magnum Hunter Resources Corporation D

    700

    4.00

    2800

    11.46%

    NM-PH

    Navios Maritime Holdings Inc. S

    100

    2.16

    216

    10.29%

    NRF-PE

    Northstar Realty Finance Corp.

    150

    2.19

    328

    8.3%

    PSEC

    Prospect Capital Corporation

    1000

    1.00

    1000

    12%

    SDRL

    SeaDrill Limited

    175

    0

    0

    0

    Total







    $7666




    Symbol

    Company Name

    # of shares held

    Annual Dividend Per Share

    Total Dividend

    AMLP

    Alerian MLP ETF

    200

    1.17

    234

    AMNF

    Armanino Foods of Distinction

    1,000

    0.072

    72

    AVX

    AVX Corp.

    120

    .42

    50

    BBL

    BHP Billiton PLC

    60

    2.48

    148

    BGS

    B&G Foods Inc.

    170

    1.36

    231

    CVX

    Chevron Corporation

    192

    4.28

    822

    GIS

    General Mills, Inc.

    43

    1.64

    71

    HP

    Helmerich & Payne, Inc.

    55

    2.75

    151

    JNJ

    Johnson & Johnson

    30

    2.80

    84

    KMI

    Kinder Morgan, Inc.

    1,000

    1.92

    1920

    LTC

    LTC Properties Inc

    300

    2.04

    612

    MAT

    Mattel, Inc.

    150

    1.52

    228

    MO

    Altria Group Inc.

    200

    2.08

    416

    MPW

    Medical Properties Trust Inc.

    1,450

    0.88

    1276

    NRF

    NorthStar Realty Finance Corp.

    446

    1.60

    714

    O

    Realty Income Corporation

    900

    2.27

    2043

    OHI

    Omega Healthcare Investors Inc

    38

    2.16

    82

    OXY

    Occidental Petroleum Corporation

    252

    2.88

    726

    PG

    The Procter & Gamble Company

    45

    2.65

    119

    PM

    Phillip Morris Company

    70

    4.00

    280

    SO

    Southern Company

    88

    2.10

    190

    SPAN

    Span-America Medical Systems Inc

    145

    0.60

    87

    T

    AT&T, Inc.

    224

    1.88

    421

    TGT

    Target Corp.

    160

    2.08

    333

    TIS

    Orchids Paper Products Company

    100

    1.40

    140

    UTG

    Reaves Utility Income Fund

    100

    1.815

    182

    VGR

    Vector Group Ltd.

    350

    1.60

    720

    VTR

    Ventas, Inc.

    144

    3.16

    455

    WPZ

    Williams Partners L.P.

    185

    3.40

    629

    Total



    $178,517 start

    YOC = 7.526

    13,436