Currently holding 24 different stocks. Looking at 14% CAGR return since purchasing all last fall. Only 7 stocks having a negative return with 3 of the 7 due to the commission of $7.
AAPL(-), BAC(-), BRK.B(+), C(-), CL(+), CLX(+), CMI(+), COF(-), CVX(+), DFS(-), DOW(+), DVN(+), GE(+), HP(+), JNJ(+), KO(+), MKC(+), OGE(-), OLN(+), PG(+), T(+), WFC(-), WMT(+), XOM(+)