Ep. 101: The Yield Is Only Half the Story — Total Return, Coverage, and What's Under the Hood (O, HDV, QQQI, CSHI, AMCR, Vanguard)
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Ep. 101: The Yield Is Only Half the Story — Total Return, Coverage, and What's Under the Hood (O, HDV, QQQI, CSHI, AMCR, Vanguard)

6 sources on one throughline — the headline yield is only half the story; what matters is total return, whether the payout is covered, and what's under the hood. (1) Our featured Realty Income (O) piece — a reliable 5.11% monthly dividend that still returned ~25% over 3yr vs the S&P's ~76% and SCHD's ~51% (yield is not total return); rate-sensitivity + AFFO coverage opacity. (2) HDV (Motley Fool) — the quality dividend ETF up >15% H1 2026 vs S&P ~9%, 2.9% yield, energy+healthcare, proving high-dividend != low return. (3) Doug the Retirement Guy's 7 top income ETFs — total-return-over-yield framework + NAV-erosion trap; QQQI #1 (14.9%), SPYI #2 (12%), GPIQ #3, IWMI #4 (14%), GPIX #5, OVL #6, TDAX #7, CHIPY honorable mention (45% yield). (4) CSHI (Neos/Wes Matthews) — the engineered cash sleeve: T-bills + sold S&P put spreads for +1-1.5% over bills. (5) Dividend Prince's 5 cheap dividend stocks — cheap-but-covered check: the Amcor 207%-payout trap facing a 25% cut vs Zoetis's safe 33% payout (MDLZ/AMCR/GIS/CLX/ZTS). (6) Vanguard recession-survival 70/30 portfolio (VTI/VXUS/VIG/VDC/BND/VTIP) as the frame around it all.
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