This portfolio?

I am trying to get some thoughts on what this portfolio looks like to experienced investors. I currently own 1-2 shares of each of these, and am planning to rotate through buying 2, then 3, then 4, etc etc shares of each of them. Mine is a "buy, hold, and profit" portfolio plan. Originally, I was planning on just doing the first 14, but then I thought I should add some ETFs (LUV is a purely megalomaniac "I own a small, small piece of the sky" thing xD )

1) MCD — Food (Restaurant) 2) FB — Internet (E:Commerce) 3) KMB — Personal (Cosmetics) 4) PG — Personal (Cosmetics) 5) KO — Food (Bev-Soft Drink) 6) T — Telecomm (Services) 7) PFE — Drug (Ethical) 8) EMR — Diversified Companies 9) WMT — Retail (Major Chains) 10) CVX — Petroleum (Intl Integrted) 11) SO — Utility (Electric) 12) WFC — Bank (Multi Regional) 13) LVS — Leisure (Gaming) 14) PM — Personal (Tobacco)

15) VDC — Consumer Staples ETF 16) FNG — New Tech and Media ETF 17) VOO — Vanguard S&P 500 ETF 18) QQQ — more or less NASDAQ 100 19) VYM — Vanguard High Yield ETF 20) LUV — Southwest Airlines

Submitted July 17, 2017 at 07:54AM by BbNowSayMyNamebB
via http://ift.tt/2t7uDa5

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