Battle Arena

Cash Flow King 245 vs Global Conservative

How $10,000 would have grown in each — compared across total return, income, NAV, and risk.

Compared over their common history since Oct 2024.

Judge on
Window
Cash Flow King 245
Medium riskMedium reward

7.3%

yield · $61/mo per $10k

WinnerGlobal Conservative
Low riskLow reward

2.6%

yield · $22/mo per $10k

Global Conservative wins on total return (20, full common history).

Growth of $10,000 (dividends reinvested)

Cash Flow King 245Global ConservativeDistributions reinvested · hypothetical, fixed weights
Total Return0–2
20.9%
Total Ret.
39.5%
12.6%
CAGR
23.2%
Income2–1
7.3%
Yield
2.6%
$61
Income
$22
1.31
Steadiness
0.55
Principal / NAVeven
5.1%
NAV
31.9%
-8.9%
Max DD
-9.0%
Risk1–3
4.0
Risk-Adj.
13.9
2.02
Sortino
2.47
8.9%
Volatility
12.4%
2.4
Safety
1.8

Holdings overlap

0% overlap

Cash Flow King 245 only

XPAY 10%BIL 10%QDVO 8%VRP 8%AMRFX 8%ANCFX 8%CAIBX 8%DIVO 8%BIZD 7%PCOFX 7%FPE 7%AMLP 7%DHS 7%

Shared

No shared holdings

Global Conservative only

SCHD 30%VYM 25%VYMI 25%IDV 20%

The risk-first read

Global Conservative wins. Cash Flow King 245 dangles a bigger 7.3% headline yield, but after NAV erosion its total return (20.9%) trails Global Conservative's 39.5% — and at a higher risk tier (2.4 vs 1.8). The classic yield trap.

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Growth is a hypothetical, fixed-weight backtest with distributions reinvested at ex-date since Oct 2024 — no fees or taxes; past performance doesn't predict future results. How these numbers are computed. Not investment advice.