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Woo hoo! (I think...)

This quarter's dividends/earnings were a whopping 1.95%! (That's 0.0195)

Increase in overall NAV (Net Asset Value = slightly under $200.

Very mediocre.

The stock which is nearly 12% of my portfolio is the only one to pay returns. The remaining increase is from price increase.

Primary Investment Objective = Aggressive Appreviation

Should I get another advisor?
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