#1 买房是不是远不如买schd?
schd的股息和房租现金流差不多,成长性年化10%也比房子好? 要是不考虑贷款是不是比买了房往外租好多了?
schd的股息和房租现金流差不多,成长性年化10%也比房子好? 要是不考虑贷款是不是比买了房往外租好多了?
至少省心
打算弄一个schd+QQQ的组合,山寨老巴
SCHD is not a good dividend ETF, comparing to FDVV
I recommend FDVV, which gives similar dividends.
In the bear market 2022, FDVV only dropped 4.19% versus SCHD dropped 3.23%
Performance. FDVV beats SP500, SCHD lose to SP500
FDVV, VIG之类的现在都估值太高了,PE和大盘差不多而且tech成分太多和 QQQ重叠了,SCHD估值还在合理区间PE才16而且分红多很多所以现在入手啊。以后要是SCHD估值上去了可以考虑如VIG FDVV之类的
gooder 写了: 2025年 8月 18日 11:02SCHD is not a good dividend ETF, comparing to FDVV
I recommend FDVV, which gives similar dividends.
In the bear market 2022, FDVV only dropped 4.19% versus SCHD dropped 3.23%
Performance. FDVV beats SP500, SCHD lose to SP500
房子能甚至,这SCHD只能分红。当然股票涨了,也能挣钱。
schd升值比房子好多了吧,除掉股息年化还有8-10%和大盘差不多的
gooder 写了: 2025年 8月 18日 11:02SCHD is not a good dividend ETF, comparing to FDVV
I recommend FDVV, which gives similar dividends.
In the bear market 2022, FDVV only dropped 4.19% versus SCHD dropped 3.23%
Performance. FDVV beats SP500, SCHD lose to SP500
有没有分析过为什么FDVV比performanceSCHD好呢?原因是什么
也就是这一两年FDVV才比schd好吧,长期看还是schd稳的而且分红高
买房有杠杠
杠杆成本很低,房子升值潜力大才有点用,现在已经不可能了
你在搞笑把,你看看max return,一共211%多,你2011年买的房子以25% downpay算,升值多少?
我说的是现在的市场啊,你25%downpay买房年化收益得是负数了。
不能timing market, 你现在买schd多半也得赔, schd现在这个holding你觉得能有多大空间网上?
Name Percent of Assets (%) Market Value
PEP PEPSICO INC
4.37%
$3.1B
CVX CHEVRON CORP
4.36%
$3.1B
MO ALTRIA GROUP INC
4.25%
$3.0B
COP CONOCOPHILLIPS
4.25%
$3.0B
ABBV ABBVIE INC
4.22%
$3.0B
MRK MERCK & CO INC
4.12%
$2.9B
HD HOME DEPOT INC
4.11%
$2.9B
AMGN AMGEN INC
3.96%
$2.8B
CSCO CISCO SYSTEMS INC
3.94%
$2.8B
VZ VERIZON COMMUNICATIONS INC
3.92%
$2.8B
以现在的市场,schd PE低,稳吃利息,难道不好吗?以后再放水甚至滞涨都有上涨空间啊。拿着放心因为知道肯定能跑赢通胀对吧。
赖美豪中 写了: 2025年 8月 18日 13:11不能timing market, 你现在买schd多半也得赔, schd现在这个holding你觉得能有多大空间网上?
Name Percent of Assets (%) Market Value
PEP PEPSICO INC
4.37%
$3.1B
CVX CHEVRON CORP
4.36%
$3.1B
MO ALTRIA GROUP INC
4.25%
$3.0B
COP CONOCOPHILLIPS
4.25%
$3.0B
ABBV ABBVIE INC
4.22%
$3.0B
MRK MERCK & CO INC
4.12%
$2.9B
HD HOME DEPOT INC
4.11%
$2.9B
AMGN AMGEN INC
3.96%
$2.8B
CSCO CISCO SYSTEMS INC
3.94%
$2.8B
VZ VERIZON COMMUNICATIONS INC
3.92%
$2.8B
这个holding里面石油股和医药股都在跌,你看看他的nav, 而且未来应该是一直跌,而且就ytd看你就知道了,除掉dividend是跌的
他家最近增加了能源的成分,基本相当于原来的schd+XLE,你不能看一两年的return,要和房产比就得看长期是不是能跑赢通胀。目前来看是没啥问题的
SCHD selects companies with a stable growth rate of dividends, but with sacrifices of share price growth.
FDVV is more balanced, with a slightly heavy in tech.