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Left by veneceh ( track member | ignore member ) - February 02, 06:26PM


Hey! What an ebullient market! Vanguard says
earnings for WMC & NTI are falling. Bought some
NYMT ~16% div & WHZ ~18% div. ARR, AGNC, DCIX ~15%
or better. Sold RSO for a nice profit. Sold PT &
CIM--tired of waiting for a return. Holding
OXF--for now. Life is good!
Conversation |
Left by veneceh ( track member | ignore member ) - December 30, 03:30AM


I also live off my divs. It just doesn't take much
for my lifestyle! PT hasn't announced yet--so
close to the EOY?? DCIX is my go-to div stock. I
learned a hard lesson this year about removing
profit when it's there (OXF)--won't make that
mistake again. Happy Holidays!
Conversation |
Left by veneceh ( track member | ignore member ) - December 10, 06:24PM


Hey! CYS announced a .52 extra div by the end of
the year plus their .40 div. Cool! I'm still
waiting for PT to announce their end of year div.
I sold TNK (very small div). OXF is a good buy--I
just wish it would stop falling. I lost 10% after
the election--ouch. Merry merry!
Conversation |
Left by veneceh ( track member | ignore member ) - November 29, 03:37PM


Hey! The Optimists are winning. OXF is sooo low,
but I still get 10% div. DCIX goes ex-div 11/30 w/
a .30 cent div on a $6.46 share (~18%). On
EDS--still avoiding China--too many shorts. Thx.
Conversation |
Left by veneceh ( track member | ignore member ) - November 24, 08:03PM


Hi! URBF--love it. I came to the same conclusion
as a farmer--totally protected crop w/leds is the
way to go. I tried to farm in Tucson & busted my
brain fighting the critters & the weather.
Dividend investing is a much easier way to make a
buck. Thx.
Conversation |
Left by veneceh ( track member | ignore member ) - November 18, 02:30PM


November--ouch! OXF was the worst of it. But,
buying opps abound. I'm in it for the
income--still good. Thx for the list of those that
moved up. There weren't many of those!
Conversation |
Left by veneceh ( track member | ignore member ) - October 25, 09:19PM


Megatrending=Predicting the future. Isn't that the
most fun part of this job? OXF, DCIX & SVU are on
the rise! TNK might be at a buy price, but it's
been rather disappointing this year-a bit like
one's errant child. Thx.
Conversation |
Left by veneceh ( track member | ignore member ) - October 18, 05:00PM


SVU is interesting--popped w/ possible takeover.
OXF popped with new contract. You have so many
stocks. I don't know how you keep track. "Focus
Fund" has a small brain!
Conversation |
Left by veneceh ( track member | ignore member ) - October 13, 11:30PM


I could make double the div & take profit if I
sold IVR--so I did. I made my income goal for
2012. I'm heavy into mREITs, and balance makes
sense in the long run. So, I added more shipping
(DCIX 20% div), & mining (OXF 20% div, and even
took some off the table. You are right--mREIT divs
are down. But I know that I can still get >10%
even on a bad day. Life is good.
Conversation |
Left by veneceh ( track member | ignore member ) - October 11, 08:47PM


Hey! I sold IVR--20% profit & I can do better with
OXF, DCIX, or even ARR. BTW it's a good day to
buy ARR (14.6% div). Div season is great!
Conversation |
Left by veneceh ( track member | ignore member ) - September 13, 01:18AM


Watch out for EDS! Hubby made a profit, but I
think people were shorting it. I own TNK,
shipping stock, decent div, but the value has
dropped. I keep thinking this one should be doing
better.
Conversation |
Left by Cyprus ( track member | ignore member ) - September 12, 01:06AM


Hay V. Yes, DCIX looks good; a half price IPO
that pays you while you wait. Last time the
shipping boom occurred, they were one of the top 5
runners. You might do very well, having both
container box shipper & tankers, when ever the
commodities starts moving, which, could be very
soon. When the mrkt jumped last week, most gains
were in the materials sector (again), suggesting a
'bump' off the bottom. A possible kick start for a
run up? You mentioned you wished to have bought
APP (&WHX) in the spring...APP is up 50% since
then. Today it broke thru its year long base; I
think its time I bought some; its still ~92% below
its peak price. Still watching EDS: 2 editors
from "SeekingAlpha" are recommending it as a
"buy". The 'buy pt' seems to be $2.25 but if it
crosses $2.00, I'll probably throw a $100 at it.
Conversation |
Left by veneceh ( track member | ignore member ) - September 11, 04:19AM


Is this yr weird or what? It's funny you should
mention MNGPY. I saw a headline at
finance.yahoo.com: "Man Group upgraded to Buy from
Neutral at Citigroup". Their divs vary every
quarter, & price may have bottomed. Thx as always.
Conversation |
Left by veneceh ( track member | ignore member ) - August 23, 12:16AM


Hey! SR last div was 3/2012--many months ago. I'm
finished with foreign telecoms. PT has been pretty
good--except for the taxes. I love OXF 20%
div(coal mining)--I'll love it even better if the
administration stops hating coal. mREITS still
holding at 12-14% divs & prices are coming
up--maybe the fall bump. OIBR looks interesting &
just split! What I love is the perfect $5 stock.
Thx!
Conversation |
Left by veneceh ( track member | ignore member ) - July 14, 03:35AM


You're so kind! I've owned KCAP, made a nice
profit. Considered NLY, own AGNC (make $500 for
every 500 shares per yr), traded CMO for ARR,
should have bought APP in spring & WHX a month
ago! I agree--ARR usually drops a bit after a
dilution, but has stuck to $7 for 2 yrs & gives a
monthly div of .10/share--yum. I try to avg
15%--so far, so good. Maybe I'll end up working at
McDonalds--but not this year.
Conversation |
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Cyprus - tickerspy Profile |
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| Email: |
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| Member Since |
05/10/09 |
| Philosophy |
Attempting to imitate Templeton, by buying 100shrs in 100companys whose shr/price has dropped below $1.00 (and/or -90%). His borrowed $10k grew 400% in less than 5yrs despite the fact 34companies failed. I hope to have some success.
Also, am trying track those mid-lg.cap companies whose shr/price has dropped below $5 (and/or -80%). Looking to purchase those with outstanding growth potential and, preferrably, paying an excellent divy (>4%). Would also like to track newer issues (IPOs<5yrs old) that have taken the bigger hits (>-75%) and are still financially viable as they retain a "uniqueness" status (wide-moat/rule-breaker
/new leaders to replace the bankrupt old leaders).
Any help would be appreciated...drop a message. more |
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