Box of financial management, bonds, ETFs, REITs, risk, mutual funds, stocks in a shopping cart on a laptop

William_Potter

Investment Thesis

Risk management plays a crucial role in determining long-term investment success, with strategic portfolio allocation being a key component in the risk management process.

In today’s article, I will show you how you could allocate the amount of $100,000

Company

Sector

Industry

Country

Market Cap

Dividend Yield [FWD]

Dividend Yield [TTM]

Payout Ratio

Dividend Growth 3 Yr [CAGR]

Dividend Growth 5 Yr [CAGR]

P/E [FWD]

Net Income Margin

24M Beta

Allocation

Amount in $

ALIZF

Allianz SE

Financials

Multi-line Insurance

Germany

99.01B

4.99%

4.99%

55.88%

6.58%

5.72%

11.61

8.04%

0.73

4%

4000

MO

Altria Group, Inc.

Consumer Staples

Tobacco

United States

73.86B

9.39%

9.10%

76.77%

3.98%

5.85%

9.1

42.60%

0.42

4%

4000

T

AT&T Inc.

Communication Services

Integrated Telecommunication Services

United States

116.55B

6.81%

6.81%

44.76%

-10.93%

-5.97%

7.33

-9.29%

0.57

3%

3000

SAN

Banco Santander, S.A.

Financials

Diversified Banks

Spain

66.57B

4.15%

3.65%

27.44%

9.56%

-9.64%

6.16

23.63%

1

2%

2000

MS

Morgan Stanley

Financials

Investment Banking and Brokerage

United States

128.93B

4.33%

4.14%

55.11%

32.41%

24.19%

13.99

18.37%

1.04

4%

4000

PBR

Petróleo Brasileiro S.A. – Petrobras

Energy

Integrated Oil and Gas

Brazil

96.68B

9.80%

4.56%

33.87%

54.84%

4.01

25.53%

0.2

3%

3000

PFE

Pfizer Inc.

Healthcare

Pharmaceuticals

United States

169.84B

5.45%

5.45%

56.79%

4.43%

4.95%

18.74

15.29%

0.55

4%

4000

KHC

The Kraft Heinz Company

Consumer Staples

Packaged Foods and Meats

United States

43.03B

4.61%

4.61%

52.63%

0.00%

-8.54%

13.69

11.00%

0.28

3%

3000

UPS

United Parcel Service, Inc.

Industrials

Air Freight and Logistics

United States

129.74B

4.26%

4.26%

64.25%

17.06%

12.23%

18.05

9.19%

1.02

4%

4000

VZ

Verizon Communications Inc.

Communication Services

Integrated Telecommunication Services

United States

158.75B

7.04%

6.95%

54.41%

1.98%

2.02%

8.45

15.58%

0.38

3.5%

3500

BLK

BlackRock, Inc.

Financials

Asset Management and Custody Banks

United States

112.53B

2.64%

2.63%

53.66%

11.90%

11.78%

20.93

30.66%

1.52

4%

4000

AAPL

Apple Inc.

Information Technology

Technology Hardware, Storage and Peripherals

United States

2.95T

0.51%

0.50%

15.36%

5.57%

6.15%

28.96

25.31%

1.24

3%

3000

MSFT

Microsoft Corporation

Information Technology

Systems Software

United States

2.74T

0.81%

0.76%

26.70%

10.11%

10.16%

33.07

35.31%

1.14

3%

3000

V

Visa Inc.

Financials

Transaction & Payment Processing Services

United States

510.98B

0.82%

0.73%

21.35%

15.30%

16.27%

26.11

52.90%

0.97

3%

3000

BAC

Bank of America Corporation

Financials

Diversified Banks

United States

243.90B

3.11%

2.99%

25.21%

8.51%

11.24%

9.12

31.52%

1.14

4%

4000

CMCSA

Comcast Corporation

Communication Services

Cable and Satellite

United States

173.40B

2.69%

2.65%

28.86%

8.20%

9.40%

11.98

12.53%

0.79

2%

2000

PEP

PepsiCo, Inc.

Consumer Staples

Soft Drinks & Non-alcoholic Beverages

United States

235.30B

2.99%

2.92%

64.31%

7.12%

6.63%

22.88

9.05%

0.48

3.5%

3500

TD

The Toronto-Dominion Bank

Financials

Diversified Banks

Canada

108.78B

4.95%

4.68%

47.11%

7.18%

6.88%

11.02

22.67%

0.91

4%

4000

QSR

Restaurant Brands International Inc.

Consumer Discretionary

Restaurants

Canada

32.54B

3.01%

2.99%

68.01%

2.06%

7.02%

25.11

13.22%

0.59

2%

2000

UNH

UnitedHealth Group Incorporated

Healthcare

Managed Healthcare

United States

507.12B

1.37%

1.33%

29.05%

14.71%

16.14%

23.1

6.02%

0.45

2%

2000

SCHD

Schwab U.S. Dividend Equity ETF

ETF

ETF

United States

3.67%

13.05%

20%

20000

DVY

iShares Select Dividend ETF

ETF

ETF

United States

3.80%

5.95%

15%

15000

3.84%

7.66%

100%

100,000

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