Mein Depot

112 Wertpapiere

Depotwert
4.633.941,87 $
Ø Dividendenrendite auf Depotwert
4,01 %
Jährliche Bruttodividende (FWD)
185.957,96 $

Allokation deiner Wertpapiere

Verteilung deiner Wertpapiere nach aktuellem Wert.

Einstand

Depotwert

4.633.941,87 $

  • Vanguard Total International Stock Index Fund ETF Shares13,42 %
  • Vanguard USD Emerging Markets Government Bond UCITS ETF4,81 %
  • Vanguard Total Bond Market Index Fund ETF Shares3,69 %
  • Unum Group3,14 %
  • State Street Corp2,44 %
  • Bank of New York Mellon Corp2,22 %
  • Lowe's Companies Inc2,08 %
  • Merck & Co Inc1,88 %
  • M&T Bank Corp1,83 %
  • Manulife Financial Corp1,78 %
  • Amgen Inc1,77 %
  • Bank OZK1,63 %
  • Simon Property Group Inc1,58 %
  • National Fuel Gas Co1,56 %
  • iShares Flexible Income Active ETF1,52 %
  • Broadcom Inc1,50 %
  • AbbVie Inc1,43 %
  • Prudential Financial Inc1,40 %
  • Simplify MBS ETF1,40 %
  • Bristol-Myers Squibb Co1,35 %
  • Great-West Lifeco Inc1,35 %
  • Main Street Capital Corp1,34 %
  • Bank of Nova Scotia1,29 %
  • Comcast Corp1,28 %
  • Valero Energy Corp1,26 %
  • British American Tobacco PLC ADR1,25 %
  • The Toronto-Dominion Bank1,22 %
  • Iron Mountain Inc1,21 %
  • UGI Corp1,21 %
  • CVS Health Corp1,20 %
  • Global Payments Inc1,17 %
  • Kinder Morgan Inc1,13 %
  • Imperial Brands PLC1,12 %
  • Eversource Energy1,06 %
  • Realty Income Corp1,00 %
  • Cummins Inc0,99 %
  • Lincoln National Corp0,99 %
  • Canadian Imperial Bank of Commerce0,99 %
  • Target Corp0,94 %
  • Stanley Black & Decker Inc0,91 %
  • Enbridge Inc0,90 %
  • Legal & General Group PLC0,87 %
  • Truist Financial Corp0,87 %
  • Altria Group Inc0,82 %
  • AT&T Inc0,81 %
  • Verizon Communications Inc0,81 %
  • VICI Properties Inc0,79 %
  • Omega Healthcare Investors Inc0,77 %
  • Lockheed Martin Corp0,73 %
  • Chevron Corp0,72 %
  • National Storage Affiliates Trust0,71 %
  • Amcor PLC0,66 %
  • Patria Investments Ltd0,62 %
  • Best Buy Co Inc0,58 %
  • Alexandria Real Estate Equities Inc0,56 %
  • Capital Southwest Corp0,50 %
  • Edison International0,49 %
  • SFL Corp Ltd0,47 %
  • Federal Agricultural Mortgage Corp Class C0,47 %
  • LyondellBasell Industries NV0,44 %
  • Tyson Foods Inc0,39 %
  • Skyworks Solutions Inc0,38 %
  • Ingredion Inc0,38 %
  • Johnson & Johnson0,38 %
  • T. Rowe Price Group Inc0,37 %
  • Global Medical REIT Inc0,37 %
  • Community Trust Bancorp Inc0,37 %
  • Exxon Mobil Corp0,36 %
  • Medical Properties Trust Inc0,36 %
  • Qualcomm Inc0,35 %
  • PepsiCo Inc0,35 %
  • USD Cash0,35 %
  • Northwest Bancshares Inc0,33 %
  • Cisco Systems Inc0,33 %
  • Pfizer Inc0,33 %
  • Innovative Industrial Properties Inc0,33 %
  • Keurig Dr Pepper Inc0,30 %
  • MetLife Inc0,29 %
  • Old Republic International Corp0,28 %
  • Community Healthcare Trust Inc0,28 %
  • Owens-Corning Inc0,27 %
  • Stag Industrial Inc0,24 %
  • iShares SMI ETF (CH)0,23 %
  • UBS MSCI Australia UCITS ETF AUD dis0,22 %
  • JM Smucker Co0,22 %
  • Archer-Daniels-Midland Co0,22 %
  • Weyco Group Inc0,20 %
  • Tanger Inc0,20 %
  • Southern Co0,19 %
  • Coca-Cola Co0,18 %
  • CME Group Inc0,18 %
  • Flex LNG Ltd0,17 %
  • iShares STOXX Global Select Dividend 100 UCITS ETF (DE)0,17 %
  • Magna International Inc0,16 %
  • Genuine Parts Co0,14 %
  • General Mills Inc0,14 %
  • iShares Fallen Angels High Yield Corp Bond UCITS ETF USD (Dist)0,13 %
  • iShares Developed Markets Property Yield UCITS ETF USD (Dist)0,11 %
  • iShares EM Dividend UCITS ETF USD (Dist)0,11 %
  • iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)0,10 %
  • 12 weitere Wertpapiere0,60 %

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WertpapierBestandEinstandWertKursgewinnWert.%Div.%Pers.Div.%Div
AbbVie Inc
AbbVie Inc
300--66.159,84 $220,53 $--1,43 %3,12 %-2.076,00 $6,92 $
Alexandria Real Estate Equities Inc
460--25.844,47 $56,18 $--0,56 %5,13 %-1.324,80 $2,88 $
Altria Group Inc
Altria Group Inc
620--37.881,50 $61,10 $--0,82 %6,90 %-2.628,80 $4,24 $
Amcor PLC
Amcor PLC
700--30.814,00 $44,02 $--0,66 %5,90 %-1.820,00 $2,60 $
Amgen Inc
Amgen Inc
250--81.880,06 $327,52 $--1,77 %2,94 %-2.415,00 $9,66 $
Amundi EUR Corporate Bond Climate Paris Aligned UCITS ETF Acc
13--2.348,31 $180,64 $--0,05 %0,00 %-0,00 $0,00 $
Archer-Daniels-Midland Co
Archer-Daniels-Midland Co
160--10.366,43 $64,79 $--0,22 %3,22 %-326,40 $2,04 $
AT&T Inc
AT&T Inc
1.600--37.704,15 $23,57 $--0,81 %4,70 %-1.776,00 $1,11 $
Bank of New York Mellon Corp
Bank of New York Mellon Corp
820--103.067,52 $125,69 $--2,22 %1,70 %-1.738,40 $2,12 $
Bank of Nova Scotia
Bank of Nova Scotia
817--59.770,79 $73,16 $--1,29 %4,34 %-2.584,58 $3,16 $
Bank OZK
Bank OZK
1.570--75.443,11 $48,05 $--1,63 %3,83 %-2.794,60 $1,78 $
Best Buy Co Inc
Best Buy Co Inc
400--26.672,86 $66,68 $--0,58 %5,70 %-1.520,00 $3,80 $
Bristol-Myers Squibb Co
Bristol-Myers Squibb Co
1.121--62.689,10 $55,92 $--1,35 %4,42 %-2.824,92 $2,52 $
British American Tobacco PLC ADR
1.000--57.744,78 $57,74 $--1,25 %5,46 %-3.140,00 $3,14 $
Broadcom Inc
Broadcom Inc
200--69.404,00 $347,02 $--1,50 %0,76 %-520,00 $2,60 $
Brookfield Infrastructure Corp
Brookfield Infrastructure Corp
9--404,27 $44,92 $--0,01 %3,82 %-15,28 $1,70 $
Canadian Imperial Bank of Commerce
500--46.010,11 $92,02 $--0,99 %3,37 %-1.538,65 $3,08 $
Capital Southwest Corp
Capital Southwest Corp
1.000--23.144,34 $23,14 $--0,50 %11,07 %-2.560,40 $2,56 $
Chevron Corp
Chevron Corp
200--33.323,67 $166,62 $--0,72 %4,09 %-1.368,00 $6,84 $
Cisco Systems Inc
Cisco Systems Inc
202--15.279,84 $75,64 $--0,33 %2,20 %-331,28 $1,64 $
CME Group Inc
CME Group Inc
30--8.209,04 $273,63 $--0,18 %3,94 %-324,00 $10,80 $
Coca-Cola Co
Coca-Cola Co
120--8.540,89 $71,17 $--0,18 %2,86 %-244,80 $2,04 $
Comcast Corp
Comcast Corp
2.100--59.327,97 $28,25 $--1,28 %4,64 %-2.772,00 $1,32 $
Community Financial System Inc
Community Financial System Inc
10--620,97 $62,10 $--0,01 %3,13 %-18,80 $1,88 $
Community Healthcare Trust Inc
Community Healthcare Trust Inc
750--12.753,18 $17,00 $--0,28 %11,20 %-1.425,00 $1,90 $
Community Trust Bancorp Inc
Community Trust Bancorp Inc
290--17.083,90 $58,91 $--0,37 %3,63 %-614,80 $2,12 $
Cummins Inc
Cummins Inc
80--46.098,32 $576,23 $--0,99 %1,42 %-640,00 $8,00 $
CVS Health Corp
CVS Health Corp
700--55.501,14 $79,29 $--1,20 %3,35 %-1.862,00 $2,66 $
Edison International
Edison International
370--22.825,73 $61,69 $--0,49 %5,70 %-1.298,70 $3,51 $
Enbridge Inc
Enbridge Inc
900--41.902,68 $46,56 $--0,90 %6,03 %-2.510,73 $2,79 $
Eversource Energy
Eversource Energy
700--48.952,48 $69,93 $--1,06 %4,30 %-2.107,00 $3,01 $
Exxon Mobil Corp
Exxon Mobil Corp
130--16.883,18 $129,87 $--0,36 %3,16 %-535,60 $4,12 $
Federal Agricultural Mortgage Corp Class C
130--21.622,66 $166,33 $--0,47 %3,59 %-780,00 $6,00 $
Flex LNG Ltd
Flex LNG Ltd
300--8.008,82 $26,70 $--0,17 %11,15 %-900,00 $3,00 $
General Mills Inc
General Mills Inc
140--6.346,76 $45,33 $--0,14 %5,35 %-341,60 $2,44 $
Genuine Parts Co
Genuine Parts Co
50--6.681,27 $133,63 $--0,14 %3,08 %-206,00 $4,12 $
Global Medical REIT Inc
Global Medical REIT Inc
480--17.159,77 $35,75 $--0,37 %8,44 %-1.440,00 $3,00 $
Global Payments Inc
Global Payments Inc
705,3--54.357,76 $77,07 $--1,17 %1,29 %-705,30 $1,00 $
Great-West Lifeco Inc
Great-West Lifeco Inc
1.300--62.619,71 $48,17 $--1,35 %3,66 %-2.280,59 $1,75 $
Imperial Brands PLC
Imperial Brands PLC
1.274--51.918,23 $40,75 $--1,12 %5,73 %-2.974,54 $2,33 $
Imperial Oil Ltd
Imperial Oil Ltd
40--3.884,16 $97,10 $--0,08 %2,10 %-82,83 $2,07 $
Ingredion Inc
Ingredion Inc
150--17.420,93 $116,14 $--0,38 %2,83 %-492,00 $3,28 $
Innovative Industrial Properties Inc
300--15.063,55 $50,21 $--0,33 %15,23 %-2.280,00 $7,60 $
Iron Mountain Inc
Iron Mountain Inc
610--56.302,26 $92,30 $--1,21 %3,78 %-2.110,60 $3,46 $
iShares Developed Markets Property Yield UCITS ETF USD (Dist)
210--5.203,38 $24,78 $--0,11 %2,99 %-155,55 $0,74 $
iShares EM Dividend UCITS ETF USD (Dist)
270--4.960,00 $18,37 $--0,11 %5,47 %-271,19 $1,00 $
iShares Fallen Angels High Yield Corp Bond UCITS ETF USD (Dist)
1.100--6.059,93 $5,51 $--0,13 %5,67 %-343,31 $0,31 $
iShares Flexible Income Active ETF
1.325--70.258,13 $53,03 $--1,52 %5,39 %-3.787,12 $2,86 $
iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)
50--4.654,98 $93,10 $--0,10 %5,90 %-274,57 $5,49 $
iShares SMI ETF (CH)
iShares SMI ETF (CH)
60--10.483,29 $174,72 $--0,23 %2,50 %-261,71 $4,36 $
iShares STOXX Global Select Dividend 100 UCITS ETF (DE)
192--7.747,53 $40,35 $--0,17 %4,07 %-315,65 $1,64 $
JM Smucker Co
JM Smucker Co
100--10.382,45 $103,82 $--0,22 %4,22 %-440,00 $4,40 $
Johnson & Johnson
Johnson & Johnson
80--17.405,84 $217,57 $--0,38 %2,38 %-416,00 $5,20 $
Keurig Dr Pepper Inc
Keurig Dr Pepper Inc
500--14.048,81 $28,10 $--0,30 %3,32 %-460,00 $0,92 $
Kinder Morgan Inc
Kinder Morgan Inc
1.900--52.497,84 $27,63 $--1,13 %4,25 %-2.223,00 $1,17 $
Legal & General Group PLC
Legal & General Group PLC
11.179--40.353,66 $3,61 $--0,87 %8,15 %-3.141,30 $0,28 $
Lincoln National Corp
Lincoln National Corp
1.100--46.021,14 $41,84 $--0,99 %4,37 %-1.980,00 $1,80 $
Lockheed Martin Corp
Lockheed Martin Corp
60--34.004,42 $566,74 $--0,73 %2,41 %-828,00 $13,80 $
Lowe's Companies Inc
Lowe's Companies Inc
350--96.300,29 $275,14 $--2,08 %1,75 %-1.680,00 $4,80 $
LyondellBasell Industries NV
LyondellBasell Industries NV
400--20.419,02 $51,05 $--0,44 %10,54 %-2.192,00 $5,48 $
M&T Bank Corp
M&T Bank Corp
400--84.789,06 $211,97 $--1,83 %2,87 %-2.400,00 $6,00 $
Magna International Inc
Magna International Inc
130--7.363,47 $56,64 $--0,16 %3,44 %-254,61 $1,96 $
Main Street Capital Corp
Main Street Capital Corp
983--61.863,24 $62,93 $--1,34 %6,77 %-4.187,58 $4,26 $
Manulife Financial Corp
Manulife Financial Corp
2.200--82.415,43 $37,46 $--1,78 %3,40 %-2.783,88 $1,27 $
Medical Properties Trust Inc
Medical Properties Trust Inc
3.200--16.504,21 $5,16 $--0,36 %6,98 %-1.152,00 $0,36 $
Merck & Co Inc
Merck & Co Inc
800--87.006,00 $108,76 $--1,88 %3,14 %-2.720,00 $3,40 $
MetLife Inc
MetLife Inc
170--13.391,04 $78,77 $--0,29 %2,89 %-385,90 $2,27 $
National Fuel Gas Co
National Fuel Gas Co
900--72.340,57 $80,38 $--1,56 %2,66 %-1.926,00 $2,14 $
National Storage Affiliates Trust
1.000--32.737,52 $32,74 $--0,71 %6,96 %-2.280,00 $2,28 $
Northwest Bancshares Inc
Northwest Bancshares Inc
1.250--15.306,72 $12,25 $--0,33 %6,68 %-1.000,00 $0,80 $
Old Republic International Corp
Old Republic International Corp
300--13.009,11 $43,36 $--0,28 %2,70 %-348,00 $1,16 $
Omega Healthcare Investors Inc
Omega Healthcare Investors Inc
800--35.633,46 $44,54 $--0,77 %6,01 %-2.144,00 $2,68 $
Omnicom Group Inc
Omnicom Group Inc
20--1.596,89 $79,84 $--0,03 %3,62 %-58,00 $2,90 $
Owens-Corning Inc
Owens-Corning Inc
100--12.497,83 $124,98 $--0,27 %2,32 %-286,00 $2,86 $
Patria Investments Ltd
Patria Investments Ltd
1.700--28.808,55 $16,95 $--0,62 %3,48 %-1.020,00 $0,60 $
PepsiCo Inc
PepsiCo Inc
110--16.060,48 $146,00 $--0,35 %3,97 %-625,90 $5,69 $
Pfizer Inc
Pfizer Inc
600--15.221,99 $25,37 $--0,33 %6,72 %-1.032,00 $1,72 $
Polaris Inc
Polaris Inc
20--1.410,25 $70,51 $--0,03 %3,80 %-53,60 $2,68 $
Power Corporation of Canada Shs
Power Corporation of Canada Shs
80--4.187,80 $52,35 $--0,09 %3,37 %-140,92 $1,76 $
Prudential Financial Inc
Prudential Financial Inc
550--65.035,42 $118,25 $--1,40 %4,59 %-2.970,00 $5,40 $
Qualcomm Inc
Qualcomm Inc
100--16.297,37 $162,97 $--0,35 %2,16 %-356,00 $3,56 $
Realty Income Corp
Realty Income Corp
770--46.469,92 $60,35 $--1,00 %5,37 %-2.494,80 $3,24 $
SFL Corp Ltd
SFL Corp Ltd
2.600--21.797,70 $8,38 $--0,47 %9,45 %-2.080,00 $0,80 $
Simon Property Group Inc
Simon Property Group Inc
398--73.393,61 $184,41 $--1,58 %4,77 %-3.502,40 $8,80 $
Simplify MBS ETF
Simplify MBS ETF
1.280--64.825,60 $50,65 $--1,40 %5,98 %-3.878,40 $3,03 $
Skyworks Solutions Inc
Skyworks Solutions Inc
300--17.622,89 $58,74 $--0,38 %4,74 %-852,00 $2,84 $
Southern Co
Southern Co
100--8.848,01 $88,48 $--0,19 %3,35 %-296,00 $2,96 $
Stag Industrial Inc
Stag Industrial Inc
300--11.315,07 $37,72 $--0,24 %4,11 %-465,00 $1,55 $
Stanley Black & Decker Inc
Stanley Black & Decker Inc
500--42.139,18 $84,28 $--0,91 %4,00 %-1.660,00 $3,32 $
State Street Corp
State Street Corp
830--113.023,76 $136,17 $--2,44 %2,49 %-2.788,80 $3,36 $
Sun Life Financial Inc
Sun Life Financial Inc
60--3.743,25 $62,39 $--0,08 %4,32 %-158,75 $2,65 $
T. Rowe Price Group Inc
T. Rowe Price Group Inc
160--17.176,49 $107,35 $--0,37 %4,91 %-812,80 $5,08 $
Tanger Inc
Tanger Inc
270--9.154,08 $33,90 $--0,20 %3,48 %-315,90 $1,17 $
Target Corp
Target Corp
400--43.586,57 $108,97 $--0,94 %4,20 %-1.824,00 $4,56 $
The Cigna Group
The Cigna Group
16--4.354,48 $272,15 $--0,09 %2,23 %-96,64 $6,04 $
The Toronto-Dominion Bank
The Toronto-Dominion Bank
600--56.524,88 $94,21 $--1,22 %3,32 %-1.863,60 $3,11 $
Truist Financial Corp
Truist Financial Corp
800--40.329,65 $50,41 $--0,87 %4,19 %-1.664,00 $2,08 $
Tyson Foods Inc
Tyson Foods Inc
300--18.042,49 $60,14 $--0,39 %3,38 %-612,00 $2,04 $
UBS Group AG Registered Shares
UBS Group AG Registered Shares
40--1.887,53 $47,19 $--0,04 %1,91 %-36,00 $0,90 $
UBS MSCI Australia UCITS ETF AUD dis
UBS MSCI Australia UCITS ETF AUD dis
400--10.414,01 $26,04 $--0,22 %3,22 %-334,08 $0,84 $
UGI Corp
UGI Corp
1.500--55.931,18 $37,29 $--1,21 %3,99 %-2.250,00 $1,50 $
United Parcel Service Inc
United Parcel Service Inc
10--1.081,25 $108,12 $--0,02 %6,16 %-65,60 $6,56 $
Unum Group
Unum Group
1.814--145.701,15 $80,32 $--3,14 %2,32 %-3.337,76 $1,84 $
USD Cash
USD CashUSD
16.00016.000,00 $1,00 $16.000,00 $1,00 $0,00 $0,00 %0,35 %0,25 %0,25 %40,00 $0,00 $
Valero Energy Corp
Valero Energy Corp
315--58.590,63 $186,00 $--1,26 %2,49 %-1.423,80 $4,52 $
Vanguard Total Bond Market Index Fund ETF Shares
2.300--171.219,29 $74,44 $--3,69 %3,84 %-6.572,25 $2,86 $
Vanguard Total International Stock Index Fund ETF Shares
7.905--622.044,45 $78,69 $--13,42 %3,05 %-18.962,51 $2,40 $
Vanguard USD Emerging Markets Government Bond UCITS ETF
5.040--222.691,94 $44,18 $--4,81 %5,92 %-13.180,10 $2,62 $
Verizon Communications Inc
Verizon Communications Inc
950--37.388,58 $39,36 $--0,81 %6,93 %-2.622,00 $2,76 $
Versant Media Group Inc Class A
Versant Media Group Inc Class A
68--2.241,28 $32,96 $--0,05 %0,00 %-0,00 $0,00 $
VICI Properties Inc
VICI Properties Inc
1.300--36.824,92 $28,33 $--0,79 %6,27 %-2.301,00 $1,77 $
Weyco Group Inc
Weyco Group Inc
300--9.262,38 $30,87 $--0,20 %3,54 %-324,00 $1,08 $