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Dividend Stacking
Maximize total dividends captured per year with highest-yielding stocks
daily rebalance25 target positionsequal_weight
Maximizes total dividend income by prioritizing the highest-yielding stocks with upcoming ex-dates. Uses yield-weighted position sizing.
Learn more about this strategy →⚠️ Paper Portfolio: This is a simulated portfolio for educational purposes. Not investment advice.
NAV
$100,042
Total Return
+0.04%
Dividends
$592
Holdings
0
Avg Yield
0.00%
Max Drawdown
-2.14%
Pending Dividends
$144
7 payments awaiting
Performance (Last 90 Days)
Dec 18, 2025Today
Current Holdings (0)
Total Value: $0
No holdings yet. Portfolio will be populated after first rebalance.
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Dividend Calendar
Upcoming Ex-Dates
$0.00
0 dates
Pending Payments
$143.85
7 payments
PAYMENT
SYKSOLD
14 shares × $0.8800
$12.32
Jan 30(in 4d)
PAYMENT
DHRSOLD
17 shares × $0.3200
$5.44
Jan 30(in 4d)
PAYMENT
DOXSOLD
61 shares × $0.5270
$32.15
Jan 30(in 4d)
PAYMENT
NHCSOLD
35 shares × $0.6400
$22.40
Jan 30(in 4d)
PAYMENT
AMTSOLD
23 shares × $1.7000
$39.10
Feb 2(in 7d)
PAYMENT
DESOLD
10 shares × $1.6200
$16.20
Feb 9(in 14d)
PAYMENT
NUESOLD
29 shares × $0.5600
$16.24
Feb 11(in 16d)
Ex-Date = Must hold before this datePayment = Dividend paid on this date
Portfolio Details
- Initial Capital
- $100,000
- Cash Balance
- $100,042
- Created
- Dec 18, 2025
- Last Updated
- Jan 25, 2026
Return Breakdown
- Unrealized Gains
- +$0
- Realized Gains
- +$0
- Dividends
- +$592
- Total Return
- +$42
Strategy Rules
Entry: 0-7 days to ex-date, next dividend yield ≥ 0.5%, quality ≥ 50, no leverage/payout risk Exit: 5+ days since ex-date OR quality drops below 40 Daily rebalance | 25 target positions | Yield-weighted sizing
Recent Trades
SELLSTLD
28 @ $171.51
Jan 5, 2026
SELLYORW
153 @ $31.58
Jan 5, 2026
SELLNUE
29 @ $168.16
Jan 5, 2026
SELLNHC
35 @ $130.93
Jan 5, 2026
SELLSTN
52 @ $98.42
Jan 5, 2026
SELLOFG
120 @ $41.58
Jan 5, 2026
SELLDOX
61 @ $81.50
Jan 5, 2026
SELLITW
19 @ $251.03
Jan 5, 2026
SELLBANF
46 @ $107.16
Jan 5, 2026
SELLTFII
47 @ $109.82
Jan 5, 2026
Portfolio History
| Date | Type | Symbol | Shares | Price | Days | Price P&L | Div | Net P&L | Reason |
|---|---|---|---|---|---|---|---|---|---|
| Jan 5, 2026 | SELL | STLD | 28 | $171.51 | 6d | -$17.64 | — | -$17.64 | exit condition v2 |
| Jan 5, 2026 | SELL | YORW | 153 | $31.58 | 6d | -$125.46 | — | -$125.46 | exit condition v2 |
| Jan 5, 2026 | SELL | NUE | 29 | $168.16 | 6d | $66.41 | — | $66.41 | exit condition v2 |
| Jan 5, 2026 | SELL | NHC | 35 | $130.93 | 6d | -$274.05 | — | -$274.05 | exit condition v2 |
| Jan 5, 2026 | SELL | STN | 52 | $98.42 | 6d | $165.11 | — | $165.11 | exit condition v2 |
| Jan 5, 2026 | SELL | OFG | 120 | $41.58 | 6d | $38.40 | — | $38.40 | exit condition v2 |
| Jan 5, 2026 | SELL | DOX | 61 | $81.50 | 6d | $14.03 | — | $14.03 | exit condition v2 |
| Jan 5, 2026 | SELL | ITW | 19 | $251.03 | 6d | $8.55 | — | $8.55 | exit condition v2 |
| Jan 5, 2026 | SELL | BANF | 46 | $107.16 | 6d | -$29.90 | — | -$29.90 | exit condition v2 |
| Jan 5, 2026 | SELL | TFII | 47 | $109.82 | 6d | $242.29 | — | $242.29 | exit condition v2 |
| Jan 5, 2026 | SELL | DE | 10 | $465.03 | 6d | -$66.75 | — | -$66.75 | exit condition v2 |
| Jan 5, 2026 | SELL | LECO | 20 | $250.51 | 6d | $141.87 | — | $141.87 | exit condition v2 |
| Jan 5, 2026 | SELL | LII | 10 | $508.61 | 6d | $135.35 | — | $135.35 | exit condition v2 |
| Jan 5, 2026 | SELL | SYK | 14 | $350.17 | 6d | -$59.78 | — | -$59.78 | exit condition v2 |
| Jan 5, 2026 | SELL | USB | 91 | $55.95 | 6d | $157.43 | — | $157.43 | exit condition v2 |
| Jan 3, 2026 | SELL | MKC-V | 61 | $66.86 | 6d | -$75.64 | — | -$75.64 | exit condition v2 |
| Jan 3, 2026 | SELL | MKC | 60 | $67.28 | 6d | -$99.00 | — | -$99.00 | exit condition v2 |
| Jan 3, 2026 | SELL | AMT | 23 | $174.80 | 6d | -$37.03 | — | -$37.03 | exit condition v2 |
| Dec 31, 2025 | SELL | DHR | 17 | $229.87 | 6d | -$27.20 | — | -$27.20 | exit condition v2 |
| Dec 31, 2025 | SELL | TOWN | 117 | $33.54 | 6d | -$56.16 | — | -$56.16 | exit condition v2 |
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