Ep. 75: The S&P's 1800s-Low Yield, the Income-ETF Shakeout & What to Buy Instead of VOO and QQQ
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Ep. 75: The S&P's 1800s-Low Yield, the Income-ETF Shakeout & What to Buy Instead of VOO and QQQ

8 sources on a richly-valued index and where investors are rotating instead: the S&P 500 dividend yield at ~1% (lowest since the 1800s) and the case for SCHD, a Seeking Alpha 'why I stopped buying VOO/QQQ' rotation thesis, the YieldMax/Defiance/REX Shares income-ETF liquidation wave, a 10-ETF sleep-well-night portfolio, the SPMO momentum ETF, Carter Worth's WRTH strangle-selling options-income ETF, Build-A-Bear (BBW) as a low-P/E value play, and a Devon Energy (DVN) ex-dividend dividend-run setup
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