The Gemini team discusses Bill Cara’s curated US dividend portfolio that combines technical and fundamental analysis across ten stocks. Bill prioritizes sustainable income and total return by requiring high momentum scores and fundamental strength.
Key holdings include:
Stable Anchors: Midstream energy MLPs (e.g., EPD) and regulated utilities.
High-Risk/High-Yield: Specialized and mortgage REITs (e.g., AGNC).
The analysis provides a risk-weighted assessment for each stock, along with guidance on position sizing and tax implications.




