Maximize current yield with moderate risk
Allocations
Ticker
Yield
1Y Return
Weight
QDVOT4
Amplify CWP Growth & Income ETF
11.3%
—
10.3%
FPET2
First Trust Preferred Securities & Income
8.0%
—
10.1%
ANCFXT2
American Funds Fundamental Invs A
22.8%
—
10%
BILT1
SPDR Bloomberg 1-3 Month T-Bill ETF
4.8%
—
10%
CAIBXT2
American Funds Capital Income Bldr A
22.9%
—
10%
XPAYT3
Roundhill Weekly Income
21.2%
—
10%
AMRFXT1
American Funds American Mutual F2
25.4%
—
10%
VRPT2
Invesco Variable Rate Preferred ETF
10.3%
—
9.9%
AMLPT3
Alerian MLP
8.0%
—
9.9%
BIZDT3
VanEck BDC Income
11.5%
—
9.8%
Risk Distribution
T1
T2
T3
T4
Cornerstone
20%
Yield Plus
40%
Sector Specialties
30%
Volatility Harvest
10%
High Octane
0%
Key Metrics
Weighted Yield
14.6%
Weighted Risk Tier
2.3
Monthly Income (on $10k)
$122/mo
Community
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Rankings
Yield#71
Short URL
divagent.ai/p/XJMVV4