@Padonak @specialkayme These aren't necessarily where I'd put money today, e.g. these are my "hold" positions not my "buy" positions.
For income: (about 40% by cost basis)
AVK, GPMT, HNW, IGD, OXLC, PCI, REM, TWO, AMZA, AWP, BX, CCR, EPD, GLO, IGD, JPS, MIC, MO, MORL, PSEC, SXCP.
Munis (no longer relevant, purchased during accumulation phase when I actually paid taxes. Might "upgrade" them.:
IIM, IQI, NEA, NVG,
Individual bonds: (about 15% by cost basis)
CUSIPS - 032359AE1, 12505JAA1, 20367QAB3, 609453AG0, 018772AS2, 761519BD8
The rest is a 10% notional short in VXXB and individual securities (various) that are bought to write covered calls against for additional income.
The tickers and CUSIPs listed are pretty static and rarely get exchanged. The rest is more active and I write about on my blog as listed in my signature line.