July 2011 All-Star Dividend Portfolio
0.76%February 01 | MyPlanIQ portfolio symbol P_34333

Meet your all-star dividend portfolio


Company

All-Star Outperform/Underperform

Dividend Yield

Sector

El Paso Pipeline Partners (NYSE: EPB  ) 58 / 1 5.2% Energy and materials
Waste Management (NYSE: WM  ) 568/ 8 3.8% Industrials
Procter & Gamble (NYSE: PG  ) 1,794 / 22 3.3% Consumer goods
Abbott Labs (NYSE: ABT  ) 707 / 16 3.6% Healthcare
New York Community Bancorp (NYSE: NYB  ) 73 / 3 6.9% Financials
Telefonica (NYSE: TEF  ) 229 / 3 8.6% Telecommunications and information Technology
Southern Co. (NYSE: SO  ) 253 / 8 4.7% Utilities

Data from Motley Fool CAPS and Capital IQ, a division of Standard & Poor's.


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Rolling Returns

From 12/03/2007 to 02/01/2012, the worst annualized return of 3-year rolling returns is 4.05%.

From 12/03/2007 to 02/01/2012, the worst annualized return of 5-year rolling returns is NA.

From 12/03/2007 to 02/01/2012, the worst annualized return of 10-year rolling returns is NA.

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