This is a current view of my main freedom portfolio. I may change what I report or how I save views for comparison but the intent is to provide real numbers to back up the content provided. Here is where the portfolio currently stands:
Symbol Company Shares
T AT&T 2,028.6438
ABBV Abbvie 449.7478
MO Altria Group 1,127.8963
ADM Archer Daniels Midland 306.5214
CVX Chevron Corp 246.1901
CHCT Community Healthcare 47.2011
DOW DOW Inc 381.3352
EMR Emerson Electric Co 207.1117
XOM Exxon Mobil Corp 266.7426
IRM Iron Mountain Inc 1,117.374
JNJ Johnson & Johnson 101.2187
LMT Lockheed Martin Corp 16.7578
OKE ONEOK Inc. 3577.7094
PM Philip Morris Intl 618.8173
O Realty Income Corp REIT 257.3444
RDS.B Royal Dutch Shell 1,000
SO Southern Company 406.9071
Maybe not as diversified or composed the way others are but this is what I’m hanging my family’s financial future on. Join me as I discuss the portfolio and follow the results I get.