Hi All,
I asked Co pilot to determine a portfolio of generating $60k from $1m, so a 6% return.
My criteria was stability, quality, high yielding and primarily qualified. Based on the recommendation, would you do anything differently?
SCHD 20%
YYM 15%
SDY 5%
SCHY 15%
VYMI 5%
JEPI 15%
JEPQ 15%
XYLD Z5%
RYLD 5%
I’d appreciate your feedback 😀
D