- In April, I continued to use a strategy of holding income funds and swing trading under-performing S&P 500 stocks to realize profits.
- I closed 3 stock trades in April for a net cost-weighted gain, including dividends, of 32.96%. The cumulative cost-weighted gain for 41 trades to date is 26.65%.
- The 29 CEFs, 25 REITs, and 111 stocks in my portfolio paid $1,287 in dividends for April, with a 4 month total of $6,017.
- Using the S&P 500 sector rotation method that I outlined in February, I opened 9 new positions in April and added to more than 2 dozen others.
For further details see:
Green's Portfolio - April 2021