PodCast #9 - LONG TERM CONSIDERATIONS IN PICKING STOCKS - podcast episode cover

PodCast #9 - LONG TERM CONSIDERATIONS IN PICKING STOCKS

May 06, 202111 minSeason 1Ep. 9
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One of the readers of my investment book, "Safer Better Dividend Investing" asked me if "rebalancing" and "exit strategies" had been considered in my stock scoring system.  I explain how I designed the system for my portfolio that would provide me with a steady dividend income of 6% while generating a capital gain in the portfolio of 9% or more.  It has worked better than I anticipated.  My income greatly exceeds my needs and the portfolio has more than doubled over the last 16 years.  In ten minutes the podcast summarizes years of work.

To gain a more detailed understanding of my approach to investing  please go to my website, www.SaferBetterDividendInvesting.com.  I only wish that someone had made such information available to me when I began investing twenty years ago.  It would have saved me and made me hundreds of thousands of dollars.
IAN

Ian Duncan MacDonald
Author and Commercial Risk Consultant,
President of Informus Inc
2 Vista Humber Drive
Toronto, Ontario
Canada, M9P 3R7
Toronto Telephone - 416-245-4994
New York Telephone - 929-800-2397
imacd@informus.ca

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