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Methodology

Stocklife Dividend Yield Stack is a US multi-cap diversified investment strategy. The strategy provides exposure to one of the highest dividend paying ETF’s and stocks in the largest economy and the largest equity market in the world with the most innovative companies having global presence. The stack consists of attractive pools of companies from Residential REITs, Commercial REIT’s, Automotive, Technology and Diversified Investment companies. The strategy creates a Portfolio of US companies with high dividend paying capacity available at affordable price. This stack is suitable for investors who want to build their core global equity portfolio with low risk and high dividend paying capacity, which helps generate stable dividend income. Further, the allocation to this stack should be in line with your financial goals and risk tolerance. Equity markets can fall at times by more than 50%. Hence, the recommended holding period is 3 years, but not less than 2 years.

Stack CAGR 16.1


Max DD NA


Sharpe Ratio NA


Rebalancing Frequency Quarterly

VaR NA

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Stacks are pre-configured baskets of stocks & ETFs that you can invest in with a single click

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16.1%