Mein Depot

113 Wertpapiere

Depotwert
4.044.841,83 $
Ø Dividendenrendite auf Depotwert
4,13 %
Jährliche Bruttodividende (FWD)
167.086,88 $

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Dividendenentwicklung

Deine Dividenden im monatlichen Vergleich.

Allokation deiner Dividenden

Verteilung deiner Dividenden für die letzten 12 Monate (TTM).

Bruttodividende 2024 (TTM)

165.956,08 $

  • Vanguard Total International Stock Index Fund ETF Shares8,70 %
  • Vanguard USD Emerging Markets Government Bond UCITS ETF7,37 %
  • Vanguard Total Bond Market Index Fund ETF Shares4,92 %
  • Main Street Capital Corp2,22 %
  • Vanguard Total International Bond Index Fund ETF Shares1,95 %
  • Simon Property Group Inc1,89 %
  • Legal & General Group PLC1,66 %
  • Unum Group1,66 %
  • SFL Corp Ltd1,65 %
  • British American Tobacco PLC ADR1,63 %
  • Amgen Inc1,61 %
  • Bristol-Myers Squibb Co1,60 %
  • Manulife Financial Corp1,53 %
  • Capital Southwest Corp1,52 %
  • Verizon Communications Inc1,52 %
  • Merck & Co Inc1,48 %
  • Altria Group Inc1,48 %
  • Comcast Corp1,47 %
  • Enbridge Inc1,45 %
  • Bank OZK1,45 %
  • Bank of Nova Scotia1,44 %
  • AbbVie Inc1,43 %
  • Realty Income Corp1,41 %
  • Alexandria Real Estate Equities Inc1,39 %
  • Kinder Morgan Inc1,37 %
  • UGI Corp1,36 %
  • Prudential Financial Inc1,35 %
  • National Storage Affiliates Trust1,35 %
  • Imperial Brands PLC1,35 %
  • Innovative Industrial Properties Inc1,34 %
  • VICI Properties Inc1,31 %
  • Omega Healthcare Investors Inc1,29 %
  • M&T Bank Corp1,28 %
  • Great-West Lifeco Inc1,27 %
  • State Street Corp1,26 %
  • LyondellBasell Industries NV1,25 %
  • Global Medical REIT Inc1,21 %
  • Lincoln National Corp1,19 %
  • CVS Health Corp1,10 %
  • National Fuel Gas Co1,10 %
  • The Toronto-Dominion Bank1,07 %
  • AT&T Inc1,07 %
  • Target Corp1,07 %
  • Medical Properties Trust Inc1,02 %
  • Truist Financial Corp1,00 %
  • Stanley Black & Decker Inc0,98 %
  • Iron Mountain Inc0,96 %
  • Patria Investments Ltd Ordinary Shares - Class A0,95 %
  • Lowe's Companies Inc0,94 %
  • Eversource Energy0,93 %
  • Best Buy Co Inc0,90 %
  • Bank of New York Mellon Corp0,86 %
  • Valero Energy Corp0,80 %
  • Canadian Imperial Bank of Commerce0,79 %
  • Walgreens Boots Alliance Inc0,76 %
  • Chevron Corp0,66 %
  • Pfizer Inc0,60 %
  • Northwest Bancshares Inc0,60 %
  • Skyworks Solutions Inc0,50 %
  • Lockheed Martin Corp0,46 %
  • Community Healthcare Trust Inc0,44 %
  • Cummins Inc0,41 %
  • Global Payments Inc0,39 %
  • Flex LNG Ltd0,37 %
  • Tyson Foods Inc0,35 %
  • T. Rowe Price Group Inc0,33 %
  • Exxon Mobil Corp0,30 %
  • Johnson & Johnson0,29 %
  • Cisco Systems Inc0,29 %
  • PPL Corp0,27 %
  • Community Trust Bancorp Inc0,27 %
  • Stag Industrial Inc0,27 %
  • Southern Co0,24 %
  • Qualcomm Inc0,20 %
  • iShares Fallen Angels High Yield Corp Bond UCITS ETF USD (Dist)0,20 %
  • CME Group Inc0,19 %
  • UBS (Irl) ETF PLC - MSCI Australia UCITS ETF (AUD) A-dis0,19 %
  • Old Republic International Corp0,19 %
  • Weyco Group Inc0,18 %
  • iShares STOXX Global Select Dividend 100 UCITS ETF (DE)0,18 %
  • Tanger Inc0,17 %
  • Oxford Square Capital Corp BDC0,17 %
  • iShares EM Dividend UCITS ETF USD (Dist)0,17 %
  • Archer-Daniels Midland Co0,16 %
  • iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)0,15 %
  • Magna International Inc0,15 %
  • MetLife Inc0,14 %
  • Owens-Corning Inc0,14 %
  • Coca-Cola Co0,14 %
  • iShares SMI ETF (CH)0,14 %
  • Graphic Packaging Holding Co0,13 %
  • Genuine Parts Co0,12 %
  • JM Smucker Co0,10 %
  • Corning Inc0,10 %
  • Avangrid Inc0,10 %
  • Ingredion Inc0,09 %
  • iShares Developed Markets Property Yield UCITS ETF USD (Dist)0,09 %
  • General Mills Inc0,06 %
  • Organon & Co0,05 %
  • Power Corporation of Canada Shs Subord.Voting0,05 %
  • 11 weitere Wertpapiere0,27 %

Dividenden Übersicht

Im Rückvergleich hättest du in den letzten 12 Monaten eine Bruttodividende von 165.956,08 $ erhalten, verteilt auf 515 Ausschüttungen an 176 Zahltagen.

Oktober 2024
37Ausschüttungen
11.731,44 $
Avangrid Inc
01.

Avangrid Inc

41,80 $

95 × 0,44 $

Coca-Cola Co
01.

Coca-Cola Co

58,20 $

120 × 0,49 $

Community Trust Bancorp Inc
01.

Community Trust Bancorp Inc

112,80 $

240 × 0,47 $

Genuine Parts Co
01.

Genuine Parts Co

50,00 $

50 × 1 $

Imperial Oil Ltd
01.

Imperial Oil Ltd

17,78 $

40 × 0,44 $

PPL Corp
01.

PPL Corp

113,30 $

440 × 0,26 $

UGI Corp
01.

UGI Corp

562,50 $

1.500 × 0,38 $

Iron Mountain Inc
03.

Iron Mountain Inc

429,00 $

600 × 0,72 $

Vanguard Total Bond Market Index Fund ETF Shares
03.

Vanguard Total Bond Market Index Fund ETF Shares

701,18 $

3.177 × 0,22 $

Vanguard Total International Bond Index Fund ETF Shares
03.

Vanguard Total International Bond Index Fund ETF Shares

131,63 $

1.364 × 0,097 $

VICI Properties Inc
03.

VICI Properties Inc

562,25 $

1.300 × 0,43 $

Graphic Packaging Holding Co
05.

Graphic Packaging Holding Co

55,00 $

550 × 0,1 $

Merck & Co Inc
07.

Merck & Co Inc

616,00 $

800 × 0,77 $

Global Medical REIT Inc
08.

Global Medical REIT Inc

504,00 $

2.400 × 0,21 $

Altria Group Inc
10.

Altria Group Inc

632,40 $

620 × 1 $

Best Buy Co Inc
10.

Best Buy Co Inc

376,00 $

400 × 0,94 $

Medical Properties Trust Inc
10.

Medical Properties Trust Inc

256,00 $

3.200 × 0,08 $

State Street Corp
11.

State Street Corp

562,40 $

740 × 0,76 $

Alexandria Real Estate Equities Inc
15.

Alexandria Real Estate Equities Inc

585,00 $

450 × 1,3 $

Innovative Industrial Properties Inc
15.

Innovative Industrial Properties Inc

570,00 $

300 × 1,9 $

iShares STOXX Global Select Dividend 100 UCITS ETF (DE)
15.

iShares STOXX Global Select Dividend 100 UCITS ETF (DE)

70,12 $

192 × 0,37 $

Main Street Capital Corp
15.

Main Street Capital Corp

221,73 $

905 × 0,25 $

National Fuel Gas Co
15.

National Fuel Gas Co

463,50 $

900 × 0,52 $

Orion Office REIT Inc
15.

Orion Office REIT Inc

1,20 $

12 × 0,1 $

Realty Income Corp
15.

Realty Income Corp

197,63 $

750 × 0,26 $

Stag Industrial Inc
15.

Stag Industrial Inc

37,00 $

300 × 0,12 $

Bank OZK
18.

Bank OZK

623,20 $

1.520 × 0,41 $

Ingredion Inc
22.

Ingredion Inc

40,00 $

50 × 0,8 $

Cisco Systems Inc
23.

Cisco Systems Inc

120,80 $

302 × 0,4 $

Comcast Corp
23.

Comcast Corp

620,00 $

2.000 × 0,31 $

Vanguard USD Emerging Markets Government Bond UCITS ETF
23.

Vanguard USD Emerging Markets Government Bond UCITS ETF

1.002,91 $

5.040 × 0,2 $

Canadian Imperial Bank of Commerce
28.

Canadian Imperial Bank of Commerce

323,97 $

500 × 0,65 $

Bank of Nova Scotia
29.

Bank of Nova Scotia

588,93 $

773 × 0,76 $

iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)
30.

iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)

14,26 $

50 × 0,29 $

LTC Properties Inc
31.

LTC Properties Inc

5,70 $

30 × 0,19 $

Oxford Square Capital Corp BDC
31.

Oxford Square Capital Corp BDC

24,05 $

687 × 0,035 $

The Toronto-Dominion Bank
31.

The Toronto-Dominion Bank

439,21 $

600 × 0,73 $

September 2024
58Ausschüttungen
17.829,17 $
Enbridge Inc
01.

Enbridge Inc

610,46 $

900 × 0,68 $

JM Smucker Co
03.

JM Smucker Co

43,20 $

40 × 1,1 $

LyondellBasell Industries NV
03.

LyondellBasell Industries NV

536,00 $

400 × 1,3 $

Pfizer Inc
03.

Pfizer Inc

252,00 $

600 × 0,42 $

Truist Financial Corp
03.

Truist Financial Corp

416,00 $

800 × 0,52 $

Valero Energy Corp
03.

Valero Energy Corp

337,05 $

315 × 1,1 $

Cummins Inc
05.

Cummins Inc

182,00 $

100 × 1,8 $

United Parcel Service Inc
05.

United Parcel Service Inc

16,30 $

10 × 1,6 $

Vanguard Total Bond Market Index Fund ETF Shares
05.

Vanguard Total Bond Market Index Fund ETF Shares

716,47 $

3.177 × 0,23 $

Vanguard Total International Bond Index Fund ETF Shares
05.

Vanguard Total International Bond Index Fund ETF Shares

137,90 $

1.364 × 0,1 $

Amgen Inc
06.

Amgen Inc

675,00 $

300 × 2,3 $

Southern Co
06.

Southern Co

100,80 $

140 × 0,72 $

Patria Investments Ltd Ordinary Shares - Class A
09.

Patria Investments Ltd Ordinary Shares - Class A

255,00 $

1.700 × 0,15 $

Chevron Corp
10.

Chevron Corp

277,10 $

170 × 1,6 $

Exxon Mobil Corp
10.

Exxon Mobil Corp

123,50 $

130 × 0,95 $

Johnson & Johnson
10.

Johnson & Johnson

124,00 $

100 × 1,2 $

MetLife Inc
10.

MetLife Inc

59,95 $

110 × 0,55 $

Skyworks Solutions Inc
10.

Skyworks Solutions Inc

210,00 $

300 × 0,7 $

Target Corp
10.

Target Corp

448,00 $

400 × 1,1 $

Archer-Daniels Midland Co
11.

Archer-Daniels Midland Co

70,00 $

140 × 0,5 $

Organon & Co
12.

Organon & Co

22,40 $

80 × 0,28 $

Prudential Financial Inc
12.

Prudential Financial Inc

565,50 $

435 × 1,3 $

Walgreens Boots Alliance Inc
12.

Walgreens Boots Alliance Inc

257,50 $

1.030 × 0,25 $

Main Street Capital Corp
13.

Main Street Capital Corp

221,73 $

905 × 0,25 $

Realty Income Corp
13.

Realty Income Corp

197,25 $

750 × 0,26 $

Tyson Foods Inc
13.

Tyson Foods Inc

147,00 $

300 × 0,49 $

Viatris Inc
13.

Viatris Inc

2,88 $

24 × 0,12 $

Old Republic International Corp
16.

Old Republic International Corp

79,50 $

300 × 0,27 $

Polaris Inc
16.

Polaris Inc

13,20 $

20 × 0,66 $

Stag Industrial Inc
16.

Stag Industrial Inc

37,00 $

300 × 0,12 $

Stanley Black & Decker Inc
17.

Stanley Black & Decker Inc

410,00 $

500 × 0,82 $

Manulife Financial Corp
19.

Manulife Financial Corp

648,93 $

2.200 × 0,29 $

The Cigna Group
19.

The Cigna Group

11,20 $

8 × 1,4 $

Vanguard Total International Stock Index Fund ETF Shares
24.

Vanguard Total International Stock Index Fund ETF Shares

2.152,53 $

7.905 × 0,27 $

CME Group Inc
25.

CME Group Inc

37,95 $

33 × 1,2 $

iShares EM Dividend UCITS ETF USD (Dist)
25.

iShares EM Dividend UCITS ETF USD (Dist)

103,06 $

270 × 0,38 $

iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)
25.

iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)

21,49 $

50 × 0,43 $

Vanguard USD Emerging Markets Government Bond UCITS ETF
25.

Vanguard USD Emerging Markets Government Bond UCITS ETF

936,33 $

5.040 × 0,19 $

Qualcomm Inc
26.

Qualcomm Inc

85,00 $

100 × 0,85 $

Brookfield Infrastructure Corp
27.

Brookfield Infrastructure Corp

3,65 $

9 × 0,41 $

Corning Inc
27.

Corning Inc

42,00 $

150 × 0,28 $

Global Payments Inc
27.

Global Payments Inc

160,00 $

640 × 0,25 $

Great-West Lifeco Inc
27.

Great-West Lifeco Inc

533,52 $

1.300 × 0,41 $

Legal & General Group PLC
27.

Legal & General Group PLC

825,62 $

10.292 × 0,08 $

Lockheed Martin Corp
27.

Lockheed Martin Corp

189,00 $

60 × 3,2 $

Main Street Capital Corp
27.

Main Street Capital Corp

271,50 $

905 × 0,3 $

SFL Corp Ltd
27.

SFL Corp Ltd

702,00 $

2.600 × 0,27 $

T. Rowe Price Group Inc
27.

T. Rowe Price Group Inc

136,40 $

110 × 1,2 $

Broadcom Inc
30.

Broadcom Inc

13,25 $

25 × 0,53 $

Capital Southwest Corp
30.

Capital Southwest Corp

640,00 $

1.000 × 0,64 $

Eversource Energy
30.

Eversource Energy

393,25 $

550 × 0,72 $

Imperial Brands PLC
30.

Imperial Brands PLC

354,17 $

1.179 × 0,3 $

LTC Properties Inc
30.

LTC Properties Inc

5,70 $

30 × 0,19 $

M&T Bank Corp
30.

M&T Bank Corp

540,00 $

400 × 1,4 $

National Storage Affiliates Trust
30.

National Storage Affiliates Trust

560,00 $

1.000 × 0,56 $

Oxford Square Capital Corp BDC
30.

Oxford Square Capital Corp BDC

24,05 $

687 × 0,035 $

Simon Property Group Inc
30.

Simon Property Group Inc

815,90 $

398 × 2,1 $

Weyco Group Inc
30.

Weyco Group Inc

78,00 $

300 × 0,26 $

August 2024
31Ausschüttungen
10.119,34 $
AT&T Inc
01.

AT&T Inc

444,00 $

1.600 × 0,28 $

Bristol-Myers Squibb Co
01.

Bristol-Myers Squibb Co

672,60 $

1.121 × 0,6 $

CVS Health Corp
01.

CVS Health Corp

465,50 $

700 × 0,67 $

General Mills Inc
01.

General Mills Inc

24,00 $

40 × 0,6 $

Lincoln National Corp
01.

Lincoln National Corp

495,00 $

1.100 × 0,45 $

Power Corporation of Canada Shs Subord.Voting
01.

Power Corporation of Canada Shs Subord.Voting

20,26 $

50 × 0,41 $

Verizon Communications Inc
01.

Verizon Communications Inc

631,75 $

950 × 0,67 $

Bank of New York Mellon Corp
02.

Bank of New York Mellon Corp

385,40 $

820 × 0,47 $

Owens-Corning Inc
02.

Owens-Corning Inc

60,00 $

100 × 0,6 $

Vanguard Total Bond Market Index Fund ETF Shares
05.

Vanguard Total Bond Market Index Fund ETF Shares

711,36 $

3.177 × 0,22 $

Vanguard Total International Bond Index Fund ETF Shares
05.

Vanguard Total International Bond Index Fund ETF Shares

137,08 $

1.364 × 0,1 $

British American Tobacco PLC ADR
07.

British American Tobacco PLC ADR

691,69 $

930 × 0,74 $

Lowe's Companies Inc
07.

Lowe's Companies Inc

402,50 $

350 × 1,2 $

UBS (Irl) ETF PLC - MSCI Australia UCITS ETF (AUD) A-dis
13.

UBS (Irl) ETF PLC - MSCI Australia UCITS ETF (AUD) A-dis

154,29 $

375 × 0,41 $

Northwest Bancshares Inc
14.

Northwest Bancshares Inc

250,00 $

1.250 × 0,2 $

AbbVie Inc
15.

AbbVie Inc

599,85 $

387 × 1,6 $

Kinder Morgan Inc
15.

Kinder Morgan Inc

575,00 $

2.000 × 0,29 $

Main Street Capital Corp
15.

Main Street Capital Corp

221,73 $

905 × 0,25 $

Omega Healthcare Investors Inc
15.

Omega Healthcare Investors Inc

536,00 $

800 × 0,67 $

Procter & Gamble Co
15.

Procter & Gamble Co

10,07 $

10 × 1 $

Realty Income Corp
15.

Realty Income Corp

197,25 $

750 × 0,26 $

Stag Industrial Inc
15.

Stag Industrial Inc

37,00 $

300 × 0,12 $

Tanger Inc
15.

Tanger Inc

74,25 $

270 × 0,28 $

Unum Group
16.

Unum Group

761,88 $

1.814 × 0,42 $

Community Healthcare Trust Inc
23.

Community Healthcare Trust Inc

185,00 $

400 × 0,46 $

Vanguard USD Emerging Markets Government Bond UCITS ETF
28.

Vanguard USD Emerging Markets Government Bond UCITS ETF

1.223,50 $

5.040 × 0,24 $

iShares Developed Markets Property Yield UCITS ETF USD (Dist)
29.

iShares Developed Markets Property Yield UCITS ETF USD (Dist)

39,69 $

210 × 0,19 $

iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)
29.

iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)

21,22 $

50 × 0,42 $

LTC Properties Inc
30.

LTC Properties Inc

5,70 $

30 × 0,19 $

Magna International Inc
30.

Magna International Inc

61,75 $

130 × 0,48 $

Oxford Square Capital Corp BDC
30.

Oxford Square Capital Corp BDC

24,05 $

687 × 0,035 $

Juli 2024
39Ausschüttungen
11.861,45 $
Avangrid Inc
01.

Avangrid Inc

41,80 $

95 × 0,44 $

Coca-Cola Co
01.

Coca-Cola Co

58,20 $

120 × 0,49 $

Community Trust Bancorp Inc
01.

Community Trust Bancorp Inc

110,40 $

240 × 0,46 $

Genuine Parts Co
01.

Genuine Parts Co

50,00 $

50 × 1 $

Imperial Oil Ltd
01.

Imperial Oil Ltd

17,47 $

40 × 0,44 $

PPL Corp
01.

PPL Corp

113,30 $

440 × 0,26 $

UGI Corp
01.

UGI Corp

562,50 $

1.500 × 0,38 $

Vanguard Total Bond Market Index Fund ETF Shares
03.

Vanguard Total Bond Market Index Fund ETF Shares

701,17 $

3.177 × 0,22 $

Vanguard Total International Bond Index Fund ETF Shares
03.

Vanguard Total International Bond Index Fund ETF Shares

126,99 $

1.364 × 0,093 $

VICI Properties Inc
03.

VICI Properties Inc

539,50 $

1.300 × 0,42 $

Graphic Packaging Holding Co
05.

Graphic Packaging Holding Co

55,00 $

550 × 0,1 $

Iron Mountain Inc
05.

Iron Mountain Inc

390,00 $

600 × 0,65 $

Merck & Co Inc
08.

Merck & Co Inc

616,00 $

800 × 0,77 $

Global Medical REIT Inc
09.

Global Medical REIT Inc

504,00 $

2.400 × 0,21 $

Medical Properties Trust Inc
09.

Medical Properties Trust Inc

480,00 $

3.200 × 0,15 $

Altria Group Inc
10.

Altria Group Inc

607,60 $

620 × 0,98 $

Best Buy Co Inc
11.

Best Buy Co Inc

376,00 $

400 × 0,94 $

State Street Corp
11.

State Street Corp

510,60 $

740 × 0,69 $

Alexandria Real Estate Equities Inc
15.

Alexandria Real Estate Equities Inc

585,00 $

450 × 1,3 $

Innovative Industrial Properties Inc
15.

Innovative Industrial Properties Inc

570,00 $

300 × 1,9 $

Main Street Capital Corp
15.

Main Street Capital Corp

221,73 $

905 × 0,25 $

National Fuel Gas Co
15.

National Fuel Gas Co

463,50 $

900 × 0,52 $

Orion Office REIT Inc
15.

Orion Office REIT Inc

1,20 $

12 × 0,1 $

Realty Income Corp
15.

Realty Income Corp

197,25 $

750 × 0,26 $

Stag Industrial Inc
15.

Stag Industrial Inc

37,00 $

300 × 0,12 $

iShares STOXX Global Select Dividend 100 UCITS ETF (DE)
16.

iShares STOXX Global Select Dividend 100 UCITS ETF (DE)

120,72 $

192 × 0,63 $

iShares SMI ETF (CH)
18.

iShares SMI ETF (CH)

41,90 $

60 × 0,7 $

Bank OZK
19.

Bank OZK

608,00 $

1.520 × 0,4 $

Ingredion Inc
23.

Ingredion Inc

39,00 $

50 × 0,78 $

Bank of New York Mellon Corp
24.

Bank of New York Mellon Corp

14,35 $

820 × 0,018 $

Cisco Systems Inc
24.

Cisco Systems Inc

120,80 $

302 × 0,4 $

Comcast Corp
24.

Comcast Corp

620,00 $

2.000 × 0,31 $

Vanguard USD Emerging Markets Government Bond UCITS ETF
24.

Vanguard USD Emerging Markets Government Bond UCITS ETF

950,44 $

5.040 × 0,19 $

Bank of Nova Scotia
29.

Bank of Nova Scotia

591,62 $

773 × 0,77 $

Canadian Imperial Bank of Commerce
29.

Canadian Imperial Bank of Commerce

324,91 $

500 × 0,65 $

iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)
31.

iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)

20,42 $

50 × 0,41 $

LTC Properties Inc
31.

LTC Properties Inc

5,70 $

30 × 0,19 $

Oxford Square Capital Corp BDC
31.

Oxford Square Capital Corp BDC

24,05 $

687 × 0,035 $

The Toronto-Dominion Bank
31.

The Toronto-Dominion Bank

443,35 $

600 × 0,74 $

Juni 2024
60Ausschüttungen
20.895,90 $
Enbridge Inc
01.

Enbridge Inc

603,19 $

900 × 0,67 $

JM Smucker Co
03.

JM Smucker Co

42,40 $

40 × 1,1 $

Truist Financial Corp
03.

Truist Financial Corp

416,00 $

800 × 0,52 $

Johnson & Johnson
04.

Johnson & Johnson

124,00 $

100 × 1,2 $

Archer-Daniels Midland Co
05.

Archer-Daniels Midland Co

70,00 $

140 × 0,5 $

Vanguard Total Bond Market Index Fund ETF Shares
05.

Vanguard Total Bond Market Index Fund ETF Shares

695,65 $

3.177 × 0,22 $

Vanguard Total International Bond Index Fund ETF Shares
05.

Vanguard Total International Bond Index Fund ETF Shares

130,81 $

1.364 × 0,096 $

Cummins Inc
06.

Cummins Inc

168,00 $

100 × 1,7 $

Legal & General Group PLC
06.

Legal & General Group PLC

1.926,37 $

10.292 × 0,19 $

Southern Co
06.

Southern Co

100,80 $

140 × 0,72 $

Amgen Inc
07.

Amgen Inc

675,00 $

300 × 2,3 $

Chevron Corp
10.

Chevron Corp

277,10 $

170 × 1,6 $

Exxon Mobil Corp
10.

Exxon Mobil Corp

123,50 $

130 × 0,95 $

LyondellBasell Industries NV
10.

LyondellBasell Industries NV

536,00 $

400 × 1,3 $

Patria Investments Ltd Ordinary Shares - Class A
10.

Patria Investments Ltd Ordinary Shares - Class A

297,50 $

1.700 × 0,18 $

Target Corp
10.

Target Corp

440,00 $

400 × 1,1 $

MetLife Inc
11.

MetLife Inc

59,95 $

110 × 0,55 $

Skyworks Solutions Inc
11.

Skyworks Solutions Inc

204,00 $

300 × 0,68 $

Walgreens Boots Alliance Inc
12.

Walgreens Boots Alliance Inc

257,50 $

1.030 × 0,25 $

Organon & Co
13.

Organon & Co

22,40 $

80 × 0,28 $

Prudential Financial Inc
13.

Prudential Financial Inc

565,50 $

435 × 1,3 $

Main Street Capital Corp
14.

Main Street Capital Corp

217,20 $

905 × 0,24 $

Old Republic International Corp
14.

Old Republic International Corp

79,50 $

300 × 0,27 $

Pfizer Inc
14.

Pfizer Inc

252,00 $

600 × 0,42 $

Realty Income Corp
14.

Realty Income Corp

196,88 $

750 × 0,26 $

Tyson Foods Inc
14.

Tyson Foods Inc

147,00 $

300 × 0,49 $

Viatris Inc
14.

Viatris Inc

2,88 $

24 × 0,12 $

Polaris Inc
17.

Polaris Inc

13,20 $

20 × 0,66 $

Stag Industrial Inc
17.

Stag Industrial Inc

37,00 $

300 × 0,12 $

Stanley Black & Decker Inc
18.

Stanley Black & Decker Inc

405,00 $

500 × 0,81 $

Manulife Financial Corp
19.

Manulife Financial Corp

642,07 $

2.200 × 0,29 $

Qualcomm Inc
20.

Qualcomm Inc

85,00 $

100 × 0,85 $

The Cigna Group
20.

The Cigna Group

11,20 $

8 × 1,4 $

Flex LNG Ltd
21.

Flex LNG Ltd

150,00 $

200 × 0,75 $

CME Group Inc
25.

CME Group Inc

37,95 $

33 × 1,2 $

Vanguard Total International Stock Index Fund ETF Shares
25.

Vanguard Total International Stock Index Fund ETF Shares

3.822,07 $

7.905 × 0,48 $

Flex LNG Ltd
26.

Flex LNG Ltd

148,42 $

200 × 0,74 $

iShares EM Dividend UCITS ETF USD (Dist)
26.

iShares EM Dividend UCITS ETF USD (Dist)

110,65 $

270 × 0,41 $

iShares Fallen Angels High Yield Corp Bond UCITS ETF USD (Dist)
26.

iShares Fallen Angels High Yield Corp Bond UCITS ETF USD (Dist)

163,46 $

1.100 × 0,15 $

iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)
26.

iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)

24,06 $

50 × 0,48 $

SFL Corp Ltd
26.

SFL Corp Ltd

702,00 $

2.600 × 0,27 $

Vanguard USD Emerging Markets Government Bond UCITS ETF
26.

Vanguard USD Emerging Markets Government Bond UCITS ETF

871,33 $

5.040 × 0,17 $

Corning Inc
27.

Corning Inc

42,00 $

150 × 0,28 $

Main Street Capital Corp
27.

Main Street Capital Corp

271,50 $

905 × 0,3 $

T. Rowe Price Group Inc
27.

T. Rowe Price Group Inc

136,40 $

110 × 1,2 $

Broadcom Inc
28.

Broadcom Inc

13,13 $

25 × 0,53 $

Brookfield Infrastructure Corp
28.

Brookfield Infrastructure Corp

3,65 $

9 × 0,41 $

Capital Southwest Corp
28.

Capital Southwest Corp

630,00 $

1.000 × 0,63 $

Eversource Energy
28.

Eversource Energy

393,25 $

550 × 0,72 $

Global Payments Inc
28.

Global Payments Inc

160,00 $

640 × 0,25 $

Great-West Lifeco Inc
28.

Great-West Lifeco Inc

526,85 $

1.300 × 0,41 $

Imperial Brands PLC
28.

Imperial Brands PLC

334,80 $

1.179 × 0,28 $

Lockheed Martin Corp
28.

Lockheed Martin Corp

189,00 $

60 × 3,2 $

LTC Properties Inc
28.

LTC Properties Inc

5,70 $

30 × 0,19 $

M&T Bank Corp
28.

M&T Bank Corp

540,00 $

400 × 1,4 $

National Storage Affiliates Trust
28.

National Storage Affiliates Trust

560,00 $

1.000 × 0,56 $

Oxford Square Capital Corp BDC
28.

Oxford Square Capital Corp BDC

24,05 $

687 × 0,035 $

Simon Property Group Inc
28.

Simon Property Group Inc

796,00 $

398 × 2 $

Valero Energy Corp
28.

Valero Energy Corp

337,05 $

315 × 1,1 $

Weyco Group Inc
28.

Weyco Group Inc

78,00 $

300 × 0,26 $

Mai 2024
32Ausschüttungen
10.145,89 $
AT&T Inc
01.

AT&T Inc

444,00 $

1.600 × 0,28 $

Bristol-Myers Squibb Co
01.

Bristol-Myers Squibb Co

672,60 $

1.121 × 0,6 $

CVS Health Corp
01.

CVS Health Corp

465,50 $

700 × 0,67 $

General Mills Inc
01.

General Mills Inc

23,60 $

40 × 0,59 $

Lincoln National Corp
01.

Lincoln National Corp

495,00 $

1.100 × 0,45 $

Medical Properties Trust Inc
01.

Medical Properties Trust Inc

480,00 $

3.200 × 0,15 $

Power Corporation of Canada Shs Subord.Voting
01.

Power Corporation of Canada Shs Subord.Voting

20,47 $

50 × 0,41 $

Verizon Communications Inc
01.

Verizon Communications Inc

631,75 $

950 × 0,67 $

UBS Group AG
03.

UBS Group AG

28,00 $

40 × 0,7 $

Vanguard Total Bond Market Index Fund ETF Shares
06.

Vanguard Total Bond Market Index Fund ETF Shares

679,28 $

3.177 × 0,21 $

Vanguard Total International Bond Index Fund ETF Shares
06.

Vanguard Total International Bond Index Fund ETF Shares

121,67 $

1.364 × 0,089 $

British American Tobacco PLC ADR
07.

British American Tobacco PLC ADR

674,11 $

930 × 0,72 $

Lowe's Companies Inc
08.

Lowe's Companies Inc

385,00 $

350 × 1,1 $

Bank of New York Mellon Corp
09.

Bank of New York Mellon Corp

344,40 $

820 × 0,42 $

AbbVie Inc
15.

AbbVie Inc

599,85 $

387 × 1,6 $

Kinder Morgan Inc
15.

Kinder Morgan Inc

575,00 $

2.000 × 0,29 $

Main Street Capital Corp
15.

Main Street Capital Corp

217,20 $

905 × 0,24 $

Northwest Bancshares Inc
15.

Northwest Bancshares Inc

250,00 $

1.250 × 0,2 $

Omega Healthcare Investors Inc
15.

Omega Healthcare Investors Inc

536,00 $

800 × 0,67 $

Procter & Gamble Co
15.

Procter & Gamble Co

10,07 $

10 × 1 $

Realty Income Corp
15.

Realty Income Corp

192,75 $

750 × 0,26 $

Stag Industrial Inc
15.

Stag Industrial Inc

37,00 $

300 × 0,12 $

Tanger Inc
15.

Tanger Inc

74,25 $

270 × 0,28 $

Unum Group
17.

Unum Group

662,11 $

1.814 × 0,37 $

Community Healthcare Trust Inc
24.

Community Healthcare Trust Inc

184,00 $

400 × 0,46 $

Vanguard USD Emerging Markets Government Bond UCITS ETF
29.

Vanguard USD Emerging Markets Government Bond UCITS ETF

1.169,18 $

5.040 × 0,23 $

iShares Developed Markets Property Yield UCITS ETF USD (Dist)
30.

iShares Developed Markets Property Yield UCITS ETF USD (Dist)

43,85 $

210 × 0,21 $

iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)
30.

iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)

21,47 $

50 × 0,43 $

United Parcel Service Inc
30.

United Parcel Service Inc

16,30 $

10 × 1,6 $

LTC Properties Inc
31.

LTC Properties Inc

5,70 $

30 × 0,19 $

Magna International Inc
31.

Magna International Inc

61,75 $

130 × 0,48 $

Oxford Square Capital Corp BDC
31.

Oxford Square Capital Corp BDC

24,05 $

687 × 0,035 $

April 2024
39Ausschüttungen
11.284,33 $
Avangrid Inc
01.

Avangrid Inc

41,80 $

95 × 0,44 $

Coca-Cola Co
01.

Coca-Cola Co

58,20 $

120 × 0,49 $

Community Trust Bancorp Inc
01.

Community Trust Bancorp Inc

110,40 $

240 × 0,46 $

Genuine Parts Co
01.

Genuine Parts Co

50,00 $

50 × 1 $

Imperial Oil Ltd
01.

Imperial Oil Ltd

17,68 $

40 × 0,44 $

PPL Corp
01.

PPL Corp

113,30 $

440 × 0,26 $

UGI Corp
01.

UGI Corp

562,50 $

1.500 × 0,38 $

Iron Mountain Inc
04.

Iron Mountain Inc

390,00 $

600 × 0,65 $

Owens-Corning Inc
04.

Owens-Corning Inc

60,00 $

100 × 0,6 $

Vanguard Total Bond Market Index Fund ETF Shares
04.

Vanguard Total Bond Market Index Fund ETF Shares

687,19 $

3.177 × 0,22 $

Vanguard Total International Bond Index Fund ETF Shares
04.

Vanguard Total International Bond Index Fund ETF Shares

124,53 $

1.364 × 0,091 $

VICI Properties Inc
04.

VICI Properties Inc

539,50 $

1.300 × 0,42 $

Graphic Packaging Holding Co
05.

Graphic Packaging Holding Co

55,00 $

550 × 0,1 $

Merck & Co Inc
05.

Merck & Co Inc

616,00 $

800 × 0,77 $

Global Medical REIT Inc
09.

Global Medical REIT Inc

504,00 $

2.400 × 0,21 $

Best Buy Co Inc
11.

Best Buy Co Inc

376,00 $

400 × 0,94 $

State Street Corp
11.

State Street Corp

510,60 $

740 × 0,69 $

Alexandria Real Estate Equities Inc
15.

Alexandria Real Estate Equities Inc

571,50 $

450 × 1,3 $

Innovative Industrial Properties Inc
15.

Innovative Industrial Properties Inc

546,00 $

300 × 1,8 $

iShares STOXX Global Select Dividend 100 UCITS ETF (DE)
15.

iShares STOXX Global Select Dividend 100 UCITS ETF (DE)

35,41 $

192 × 0,18 $

Main Street Capital Corp
15.

Main Street Capital Corp

217,20 $

905 × 0,24 $

National Fuel Gas Co
15.

National Fuel Gas Co

445,50 $

900 × 0,5 $

Orion Office REIT Inc
15.

Orion Office REIT Inc

1,20 $

12 × 0,1 $

Realty Income Corp
15.

Realty Income Corp

192,75 $

750 × 0,26 $

Stag Industrial Inc
15.

Stag Industrial Inc

37,00 $

300 × 0,12 $

iShares SMI ETF (CH)
16.

iShares SMI ETF (CH)

28,93 $

60 × 0,48 $

Bank OZK
19.

Bank OZK

592,80 $

1.520 × 0,39 $

Ingredion Inc
23.

Ingredion Inc

39,00 $

50 × 0,78 $

Cisco Systems Inc
24.

Cisco Systems Inc

120,80 $

302 × 0,4 $

Comcast Corp
24.

Comcast Corp

620,00 $

2.000 × 0,31 $

iShares SMI ETF (CH)
24.

iShares SMI ETF (CH)

57,72 $

60 × 0,96 $

Vanguard USD Emerging Markets Government Bond UCITS ETF
24.

Vanguard USD Emerging Markets Government Bond UCITS ETF

930,03 $

5.040 × 0,18 $

Bank of Nova Scotia
26.

Bank of Nova Scotia

598,94 $

773 × 0,77 $

Canadian Imperial Bank of Commerce
29.

Canadian Imperial Bank of Commerce

329,35 $

500 × 0,66 $

Altria Group Inc
30.

Altria Group Inc

607,60 $

620 × 0,98 $

iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)
30.

iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)

22,08 $

50 × 0,44 $

LTC Properties Inc
30.

LTC Properties Inc

5,70 $

30 × 0,19 $

Oxford Square Capital Corp BDC
30.

Oxford Square Capital Corp BDC

24,05 $

687 × 0,035 $

The Toronto-Dominion Bank
30.

The Toronto-Dominion Bank

444,08 $

600 × 0,74 $

März 2024
62Ausschüttungen
17.600,43 $
Community Healthcare Trust Inc
01.

Community Healthcare Trust Inc

183,00 $

400 × 0,46 $

Enbridge Inc
01.

Enbridge Inc

606,34 $

900 × 0,67 $

JM Smucker Co
01.

JM Smucker Co

42,40 $

40 × 1,1 $

Pfizer Inc
01.

Pfizer Inc

252,00 $

600 × 0,42 $

Truist Financial Corp
01.

Truist Financial Corp

416,00 $

800 × 0,52 $

Valero Energy Corp
04.

Valero Energy Corp

337,05 $

315 × 1,1 $

Johnson & Johnson
05.

Johnson & Johnson

119,00 $

100 × 1,2 $

Southern Co
06.

Southern Co

98,00 $

140 × 0,7 $

Vanguard Total Bond Market Index Fund ETF Shares
06.

Vanguard Total Bond Market Index Fund ETF Shares

642,77 $

3.177 × 0,2 $

Vanguard Total International Bond Index Fund ETF Shares
06.

Vanguard Total International Bond Index Fund ETF Shares

116,08 $

1.364 × 0,085 $

Amgen Inc
07.

Amgen Inc

675,00 $

300 × 2,3 $

Cummins Inc
07.

Cummins Inc

168,00 $

100 × 1,7 $

Flex LNG Ltd
08.

Flex LNG Ltd

151,16 $

200 × 0,76 $

Magna International Inc
08.

Magna International Inc

61,75 $

130 × 0,48 $

Patria Investments Ltd Ordinary Shares - Class A
08.

Patria Investments Ltd Ordinary Shares - Class A

678,30 $

1.700 × 0,4 $

United Parcel Service Inc
08.

United Parcel Service Inc

16,30 $

10 × 1,6 $

Target Corp
10.

Target Corp

440,00 $

400 × 1,1 $

Chevron Corp
11.

Chevron Corp

277,10 $

170 × 1,6 $

Exxon Mobil Corp
11.

Exxon Mobil Corp

123,50 $

130 × 0,95 $

iShares SMI ETF (CH)
11.

iShares SMI ETF (CH)

36,93 $

60 × 0,62 $

LyondellBasell Industries NV
11.

LyondellBasell Industries NV

500,00 $

400 × 1,3 $

Skyworks Solutions Inc
12.

Skyworks Solutions Inc

204,00 $

300 × 0,68 $

Walgreens Boots Alliance Inc
12.

Walgreens Boots Alliance Inc

257,50 $

1.030 × 0,25 $

MetLife Inc
14.

MetLife Inc

57,20 $

110 × 0,52 $

Organon & Co
14.

Organon & Co

22,40 $

80 × 0,28 $

Prudential Financial Inc
14.

Prudential Financial Inc

565,50 $

435 × 1,3 $

Main Street Capital Corp
15.

Main Street Capital Corp

217,20 $

905 × 0,24 $

Polaris Inc
15.

Polaris Inc

13,20 $

20 × 0,66 $

Realty Income Corp
15.

Realty Income Corp

192,38 $

750 × 0,26 $

Stag Industrial Inc
15.

Stag Industrial Inc

37,00 $

300 × 0,12 $

Tyson Foods Inc
15.

Tyson Foods Inc

147,00 $

300 × 0,49 $

iShares SMI ETF (CH)
18.

iShares SMI ETF (CH)

45,97 $

60 × 0,77 $

Viatris Inc
18.

Viatris Inc

2,88 $

24 × 0,12 $

Manulife Financial Corp
19.

Manulife Financial Corp

648,31 $

2.200 × 0,29 $

Stanley Black & Decker Inc
19.

Stanley Black & Decker Inc

405,00 $

500 × 0,81 $

Vanguard Total International Stock Index Fund ETF Shares
20.

Vanguard Total International Stock Index Fund ETF Shares

1.766,77 $

7.905 × 0,22 $

Old Republic International Corp
21.

Old Republic International Corp

79,50 $

300 × 0,27 $

Qualcomm Inc
21.

Qualcomm Inc

80,00 $

100 × 0,8 $

The Cigna Group
21.

The Cigna Group

11,20 $

8 × 1,4 $

CME Group Inc
26.

CME Group Inc

37,95 $

33 × 1,2 $

iShares EM Dividend UCITS ETF USD (Dist)
27.

iShares EM Dividend UCITS ETF USD (Dist)

24,25 $

270 × 0,09 $

iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)
27.

iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)

24,15 $

50 × 0,48 $

iShares SMI ETF (CH)
27.

iShares SMI ETF (CH)

13,25 $

60 × 0,22 $

Main Street Capital Corp
27.

Main Street Capital Corp

271,50 $

905 × 0,3 $

Vanguard USD Emerging Markets Government Bond UCITS ETF
27.

Vanguard USD Emerging Markets Government Bond UCITS ETF

1.027,11 $

5.040 × 0,2 $

Capital Southwest Corp
28.

Capital Southwest Corp

630,00 $

1.000 × 0,63 $

Corning Inc
28.

Corning Inc

42,00 $

150 × 0,28 $

Great-West Lifeco Inc
28.

Great-West Lifeco Inc

532,92 $

1.300 × 0,41 $

Imperial Brands PLC
28.

Imperial Brands PLC

771,36 $

1.179 × 0,65 $

SFL Corp Ltd
28.

SFL Corp Ltd

676,00 $

2.600 × 0,26 $

T. Rowe Price Group Inc
28.

T. Rowe Price Group Inc

136,40 $

110 × 1,2 $

Broadcom Inc
29.

Broadcom Inc

13,13 $

25 × 0,53 $

Brookfield Infrastructure Corp
29.

Brookfield Infrastructure Corp

3,65 $

9 × 0,41 $

Eversource Energy
29.

Eversource Energy

393,25 $

550 × 0,72 $

Global Payments Inc
29.

Global Payments Inc

160,00 $

640 × 0,25 $

Lockheed Martin Corp
29.

Lockheed Martin Corp

189,00 $

60 × 3,2 $

LTC Properties Inc
29.

LTC Properties Inc

5,70 $

30 × 0,19 $

M&T Bank Corp
29.

M&T Bank Corp

520,00 $

400 × 1,3 $

National Storage Affiliates Trust
29.

National Storage Affiliates Trust

560,00 $

1.000 × 0,56 $

Oxford Square Capital Corp BDC
29.

Oxford Square Capital Corp BDC

24,05 $

687 × 0,035 $

Simon Property Group Inc
29.

Simon Property Group Inc

776,10 $

398 × 2 $

Weyco Group Inc
29.

Weyco Group Inc

75,00 $

300 × 0,25 $

Februar 2024
29Ausschüttungen
9.359,65 $
AT&T Inc
01.

AT&T Inc

444,00 $

1.600 × 0,28 $

Bristol-Myers Squibb Co
01.

Bristol-Myers Squibb Co

672,60 $

1.121 × 0,6 $

CVS Health Corp
01.

CVS Health Corp

465,50 $

700 × 0,67 $

General Mills Inc
01.

General Mills Inc

23,60 $

40 × 0,59 $

Lincoln National Corp
01.

Lincoln National Corp

495,00 $

1.100 × 0,45 $

Power Corporation of Canada Shs Subord.Voting
01.

Power Corporation of Canada Shs Subord.Voting

19,61 $

50 × 0,39 $

Verizon Communications Inc
01.

Verizon Communications Inc

631,75 $

950 × 0,67 $

Bank of New York Mellon Corp
02.

Bank of New York Mellon Corp

344,40 $

820 × 0,42 $

British American Tobacco PLC ADR
06.

British American Tobacco PLC ADR

675,93 $

930 × 0,73 $

Vanguard Total Bond Market Index Fund ETF Shares
06.

Vanguard Total Bond Market Index Fund ETF Shares

673,14 $

3.177 × 0,21 $

Vanguard Total International Bond Index Fund ETF Shares
06.

Vanguard Total International Bond Index Fund ETF Shares

117,17 $

1.364 × 0,086 $

Lowe's Companies Inc
07.

Lowe's Companies Inc

385,00 $

350 × 1,1 $

UBS (Irl) ETF PLC - MSCI Australia UCITS ETF (AUD) A-dis
07.

UBS (Irl) ETF PLC - MSCI Australia UCITS ETF (AUD) A-dis

166,26 $

375 × 0,44 $

Northwest Bancshares Inc
14.

Northwest Bancshares Inc

250,00 $

1.250 × 0,2 $

AbbVie Inc
15.

AbbVie Inc

599,85 $

387 × 1,6 $

Kinder Morgan Inc
15.

Kinder Morgan Inc

565,00 $

2.000 × 0,28 $

Main Street Capital Corp
15.

Main Street Capital Corp

217,20 $

905 × 0,24 $

Omega Healthcare Investors Inc
15.

Omega Healthcare Investors Inc

536,00 $

800 × 0,67 $

Procter & Gamble Co
15.

Procter & Gamble Co

9,41 $

10 × 0,94 $

Realty Income Corp
15.

Realty Income Corp

192,38 $

750 × 0,26 $

Stag Industrial Inc
15.

Stag Industrial Inc

37,00 $

300 × 0,12 $

Tanger Inc
15.

Tanger Inc

70,20 $

270 × 0,26 $

Unum Group
16.

Unum Group

662,11 $

1.814 × 0,37 $

iShares Developed Markets Property Yield UCITS ETF USD (Dist)
28.

iShares Developed Markets Property Yield UCITS ETF USD (Dist)

37,02 $

210 × 0,18 $

iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)
28.

iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)

21,53 $

50 × 0,43 $

Vanguard USD Emerging Markets Government Bond UCITS ETF
28.

Vanguard USD Emerging Markets Government Bond UCITS ETF

948,26 $

5.040 × 0,19 $

Archer-Daniels Midland Co
29.

Archer-Daniels Midland Co

70,00 $

140 × 0,5 $

LTC Properties Inc
29.

LTC Properties Inc

5,70 $

30 × 0,19 $

Oxford Square Capital Corp BDC
29.

Oxford Square Capital Corp BDC

24,05 $

687 × 0,035 $

Januar 2024
37Ausschüttungen
11.241,31 $
Imperial Oil Ltd
01.

Imperial Oil Ltd

15,10 $

40 × 0,38 $

UGI Corp
01.

UGI Corp

562,50 $

1.500 × 0,38 $

Avangrid Inc
02.

Avangrid Inc

41,80 $

95 × 0,44 $

Best Buy Co Inc
02.

Best Buy Co Inc

368,00 $

400 × 0,92 $

Community Trust Bancorp Inc
02.

Community Trust Bancorp Inc

110,40 $

240 × 0,46 $

Genuine Parts Co
02.

Genuine Parts Co

47,50 $

50 × 0,95 $

PPL Corp
02.

PPL Corp

105,60 $

440 × 0,24 $

Weyco Group Inc
02.

Weyco Group Inc

75,00 $

300 × 0,25 $

Iron Mountain Inc
04.

Iron Mountain Inc

390,00 $

600 × 0,65 $

VICI Properties Inc
04.

VICI Properties Inc

539,50 $

1.300 × 0,42 $

Graphic Packaging Holding Co
05.

Graphic Packaging Holding Co

55,00 $

550 × 0,1 $

Merck & Co Inc
08.

Merck & Co Inc

616,00 $

800 × 0,77 $

Global Medical REIT Inc
09.

Global Medical REIT Inc

504,00 $

2.400 × 0,21 $

Altria Group Inc
10.

Altria Group Inc

607,60 $

620 × 0,98 $

Medical Properties Trust Inc
11.

Medical Properties Trust Inc

480,00 $

3.200 × 0,15 $

Alexandria Real Estate Equities Inc
12.

Alexandria Real Estate Equities Inc

571,50 $

450 × 1,3 $

Innovative Industrial Properties Inc
12.

Innovative Industrial Properties Inc

546,00 $

300 × 1,8 $

Main Street Capital Corp
12.

Main Street Capital Corp

217,20 $

905 × 0,24 $

National Fuel Gas Co
12.

National Fuel Gas Co

445,50 $

900 × 0,5 $

Realty Income Corp
12.

Realty Income Corp

192,38 $

750 × 0,26 $

State Street Corp
12.

State Street Corp

510,60 $

740 × 0,69 $

iShares STOXX Global Select Dividend 100 UCITS ETF (DE)
16.

iShares STOXX Global Select Dividend 100 UCITS ETF (DE)

77,52 $

192 × 0,4 $

Orion Office REIT Inc
16.

Orion Office REIT Inc

1,20 $

12 × 0,1 $

Stag Industrial Inc
16.

Stag Industrial Inc

36,75 $

300 × 0,12 $

CME Group Inc
18.

CME Group Inc

173,25 $

33 × 5,3 $

Owens-Corning Inc
19.

Owens-Corning Inc

60,00 $

100 × 0,6 $

Bank OZK
23.

Bank OZK

577,60 $

1.520 × 0,38 $

Ingredion Inc
23.

Ingredion Inc

39,00 $

50 × 0,78 $

Cisco Systems Inc
24.

Cisco Systems Inc

117,78 $

302 × 0,39 $

Comcast Corp
24.

Comcast Corp

580,00 $

2.000 × 0,29 $

iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)
24.

iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)

21,55 $

50 × 0,43 $

Bank of Nova Scotia
29.

Bank of Nova Scotia

610,93 $

773 × 0,79 $

Canadian Imperial Bank of Commerce
29.

Canadian Imperial Bank of Commerce

335,52 $

500 × 0,67 $

LTC Properties Inc
31.

LTC Properties Inc

5,70 $

30 × 0,19 $

Oxford Square Capital Corp BDC
31.

Oxford Square Capital Corp BDC

24,05 $

687 × 0,035 $

The Toronto-Dominion Bank
31.

The Toronto-Dominion Bank

455,49 $

600 × 0,76 $

Vanguard USD Emerging Markets Government Bond UCITS ETF
31.

Vanguard USD Emerging Markets Government Bond UCITS ETF

1.123,80 $

5.040 × 0,22 $

Dezember 2023
61Ausschüttungen
24.501,01 $
Enbridge Inc
01.

Enbridge Inc

591,78 $

900 × 0,66 $

JM Smucker Co
01.

JM Smucker Co

42,40 $

40 × 1,1 $

Magna International Inc
01.

Magna International Inc

59,80 $

130 × 0,46 $

Truist Financial Corp
01.

Truist Financial Corp

416,00 $

800 × 0,52 $

LyondellBasell Industries NV
04.

LyondellBasell Industries NV

500,00 $

400 × 1,3 $

Pfizer Inc
04.

Pfizer Inc

246,00 $

600 × 0,41 $

Johnson & Johnson
05.

Johnson & Johnson

119,00 $

100 × 1,2 $

Archer-Daniels Midland Co
06.

Archer-Daniels Midland Co

63,00 $

140 × 0,45 $

Southern Co
06.

Southern Co

98,00 $

140 × 0,7 $

Vanguard Total Bond Market Index Fund ETF Shares
06.

Vanguard Total Bond Market Index Fund ETF Shares

638,44 $

3.177 × 0,2 $

Vanguard Total International Bond Index Fund ETF Shares
06.

Vanguard Total International Bond Index Fund ETF Shares

119,08 $

1.364 × 0,087 $

Cummins Inc
07.

Cummins Inc

168,00 $

100 × 1,7 $

Amgen Inc
08.

Amgen Inc

639,00 $

300 × 2,1 $

Flex LNG Ltd
08.

Flex LNG Ltd

171,17 $

200 × 0,86 $

Patria Investments Ltd Ordinary Shares - Class A
08.

Patria Investments Ltd Ordinary Shares - Class A

338,30 $

1.700 × 0,2 $

Target Corp
10.

Target Corp

440,00 $

400 × 1,1 $

Chevron Corp
11.

Chevron Corp

256,70 $

170 × 1,5 $

Exxon Mobil Corp
11.

Exxon Mobil Corp

123,50 $

130 × 0,95 $

Skyworks Solutions Inc
12.

Skyworks Solutions Inc

204,00 $

300 × 0,68 $

Walgreens Boots Alliance Inc
12.

Walgreens Boots Alliance Inc

494,40 $

1.030 × 0,48 $

MetLife Inc
14.

MetLife Inc

57,20 $

110 × 0,52 $

Organon & Co
14.

Organon & Co

22,40 $

80 × 0,28 $

Prudential Financial Inc
14.

Prudential Financial Inc

543,75 $

435 × 1,3 $

Qualcomm Inc
14.

Qualcomm Inc

80,00 $

100 × 0,8 $

Coca-Cola Co
15.

Coca-Cola Co

55,20 $

120 × 0,46 $

Corning Inc
15.

Corning Inc

42,00 $

150 × 0,28 $

Main Street Capital Corp
15.

Main Street Capital Corp

212,67 $

905 × 0,24 $

Old Republic International Corp
15.

Old Republic International Corp

73,50 $

300 × 0,25 $

Polaris Inc
15.

Polaris Inc

13,00 $

20 × 0,65 $

Realty Income Corp
15.

Realty Income Corp

192,00 $

750 × 0,26 $

Stag Industrial Inc
15.

Stag Industrial Inc

36,75 $

300 × 0,12 $

Tyson Foods Inc
15.

Tyson Foods Inc

147,00 $

300 × 0,49 $

Viatris Inc
15.

Viatris Inc

2,88 $

24 × 0,12 $

Manulife Financial Corp
19.

Manulife Financial Corp

602,14 $

2.200 × 0,27 $

Stanley Black & Decker Inc
19.

Stanley Black & Decker Inc

405,00 $

500 × 0,81 $

Valero Energy Corp
20.

Valero Energy Corp

321,30 $

315 × 1 $

The Cigna Group
21.

The Cigna Group

9,84 $

8 × 1,2 $

Vanguard Total International Stock Index Fund ETF Shares
21.

Vanguard Total International Stock Index Fund ETF Shares

6.696,33 $

7.905 × 0,85 $

Main Street Capital Corp
27.

Main Street Capital Corp

248,88 $

905 × 0,28 $

Vanguard USD Emerging Markets Government Bond UCITS ETF
27.

Vanguard USD Emerging Markets Government Bond UCITS ETF

924,20 $

5.040 × 0,18 $

CME Group Inc
28.

CME Group Inc

36,30 $

33 × 1,1 $

SFL Corp Ltd
28.

SFL Corp Ltd

650,00 $

2.600 × 0,25 $

Vanguard Total Bond Market Index Fund ETF Shares
28.

Vanguard Total Bond Market Index Fund ETF Shares

668,89 $

3.177 × 0,21 $

Vanguard Total International Bond Index Fund ETF Shares
28.

Vanguard Total International Bond Index Fund ETF Shares

1.850,68 $

1.364 × 1,4 $

Broadcom Inc
29.

Broadcom Inc

13,13 $

25 × 0,53 $

Brookfield Infrastructure Corp
29.

Brookfield Infrastructure Corp

3,44 $

9 × 0,38 $

Capital Southwest Corp
29.

Capital Southwest Corp

630,00 $

1.000 × 0,63 $

Eversource Energy
29.

Eversource Energy

371,25 $

550 × 0,68 $

Global Payments Inc
29.

Global Payments Inc

160,00 $

640 × 0,25 $

Great-West Lifeco Inc
29.

Great-West Lifeco Inc

509,67 $

1.300 × 0,39 $

Imperial Brands PLC
29.

Imperial Brands PLC

778,36 $

1.179 × 0,66 $

iShares EM Dividend UCITS ETF USD (Dist)
29.

iShares EM Dividend UCITS ETF USD (Dist)

41,47 $

270 × 0,15 $

iShares Fallen Angels High Yield Corp Bond UCITS ETF USD (Dist)
29.

iShares Fallen Angels High Yield Corp Bond UCITS ETF USD (Dist)

160,27 $

1.100 × 0,15 $

iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)
29.

iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)

23,82 $

50 × 0,48 $

Lockheed Martin Corp
29.

Lockheed Martin Corp

189,00 $

60 × 3,2 $

LTC Properties Inc
29.

LTC Properties Inc

5,70 $

30 × 0,19 $

M&T Bank Corp
29.

M&T Bank Corp

520,00 $

400 × 1,3 $

National Storage Affiliates Trust
29.

National Storage Affiliates Trust

560,00 $

1.000 × 0,56 $

Oxford Square Capital Corp BDC
29.

Oxford Square Capital Corp BDC

24,05 $

687 × 0,035 $

Simon Property Group Inc
29.

Simon Property Group Inc

756,20 $

398 × 1,9 $

T. Rowe Price Group Inc
29.

T. Rowe Price Group Inc

134,20 $

110 × 1,2 $

November 2023
30Ausschüttungen
9.386,15 $
AT&T Inc
01.

AT&T Inc

444,00 $

1.600 × 0,28 $

Bristol-Myers Squibb Co
01.

Bristol-Myers Squibb Co

638,97 $

1.121 × 0,57 $

CVS Health Corp
01.

CVS Health Corp

423,50 $

700 × 0,61 $

General Mills Inc
01.

General Mills Inc

23,60 $

40 × 0,59 $

Lincoln National Corp
01.

Lincoln National Corp

495,00 $

1.100 × 0,45 $

Power Corporation of Canada Shs Subord.Voting
01.

Power Corporation of Canada Shs Subord.Voting

18,97 $

50 × 0,38 $

Verizon Communications Inc
01.

Verizon Communications Inc

631,75 $

950 × 0,67 $

Owens-Corning Inc
03.

Owens-Corning Inc

52,00 $

100 × 0,52 $

Vanguard Total Bond Market Index Fund ETF Shares
06.

Vanguard Total Bond Market Index Fund ETF Shares

644,22 $

3.177 × 0,2 $

Vanguard Total International Bond Index Fund ETF Shares
06.

Vanguard Total International Bond Index Fund ETF Shares

115,12 $

1.364 × 0,084 $

British American Tobacco PLC ADR
08.

British American Tobacco PLC ADR

659,26 $

930 × 0,71 $

Lowe's Companies Inc
08.

Lowe's Companies Inc

385,00 $

350 × 1,1 $

Bank of New York Mellon Corp
09.

Bank of New York Mellon Corp

344,40 $

820 × 0,42 $

Northwest Bancshares Inc
14.

Northwest Bancshares Inc

250,00 $

1.250 × 0,2 $

AbbVie Inc
15.

AbbVie Inc

572,76 $

387 × 1,5 $

Kinder Morgan Inc
15.

Kinder Morgan Inc

565,00 $

2.000 × 0,28 $

Main Street Capital Corp
15.

Main Street Capital Corp

212,67 $

905 × 0,24 $

Omega Healthcare Investors Inc
15.

Omega Healthcare Investors Inc

536,00 $

800 × 0,67 $

Procter & Gamble Co
15.

Procter & Gamble Co

9,41 $

10 × 0,94 $

Realty Income Corp
15.

Realty Income Corp

192,00 $

750 × 0,26 $

Stag Industrial Inc
15.

Stag Industrial Inc

36,75 $

300 × 0,12 $

Tanger Inc
15.

Tanger Inc

70,20 $

270 × 0,26 $

Unum Group
17.

Unum Group

662,11 $

1.814 × 0,37 $

Community Healthcare Trust Inc
24.

Community Healthcare Trust Inc

182,00 $

400 × 0,46 $

iShares Developed Markets Property Yield UCITS ETF USD (Dist)
29.

iShares Developed Markets Property Yield UCITS ETF USD (Dist)

34,82 $

210 × 0,17 $

iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)
29.

iShares J.P. Morgan $ EM Bond UCITS ETF USD (Dist)

21,08 $

50 × 0,42 $

Vanguard USD Emerging Markets Government Bond UCITS ETF
29.

Vanguard USD Emerging Markets Government Bond UCITS ETF

1.119,62 $

5.040 × 0,22 $

LTC Properties Inc
30.

LTC Properties Inc

5,70 $

30 × 0,19 $

Oxford Square Capital Corp BDC
30.

Oxford Square Capital Corp BDC

24,05 $

687 × 0,035 $

United Parcel Service Inc
30.

United Parcel Service Inc

16,20 $

10 × 1,6 $