I'm a long term investor in his 20's, mainly interested in dividend growth stocks. I've been investing since 2011. Stocks I'm long: ABBV, ABT, AFL, BRK.B, CVX, DEO, DPS, GE, GIS, HSY, IBM, JNJ, KO, MA, MCD, MKL, MO, MSFT, NKE, NSC, OHI, PG, PM, PSX, RLI, RDS.A, SJM, T, TIF, TGT, UTX, V, WFC, WMT and WPC.
Engineer in my late-twenties. My long term goal is to have my investments outpace my salary. I favor old conglomerates, in historically outperforming industries. Unless the facts change, my hope is generally to never sell.
Portfolio: ABT, BCR, BDX, BF-B, BLK, BRK-B, DEO, DIS, ECL, HRL, JNJ, MDLZ, MMM, MO, PEP, PM, RAI, SHW, V, VFC, WFC