Dividend Champion Portfolio

Reliable dividends.
Capital that keeps working.

This portfolio is built around Dividend Champions — companies that have not only maintained but repeatedly increased their distributions over many years. The focus is predictable cash flow and long-term wealth creation, not short-term price jumps.

Companies
18
Currencies
4
Avg. dividend yield
5.5 %
Sectors
7
01

What are Dividend Champions?

Not every dividend-paying company earns this title. Champion status reflects a rare combination of business quality, capital discipline and shareholder focus.

Years of increases

A Dividend Champion has increased its distribution for many financial years in a row — evidence of stable earnings and disciplined capital allocation.

Cash flow over hope

Dividends are real cash flow. They can be reinvested, spent or deployed into new positions — regardless of day-to-day prices.

Compounding effect

When every distribution is reinvested, the position grows year after year — and so does the next dividend. Time is the strongest lever.

02

The portfolio

Eighteen companies — from Swiss blue chips to European insurers and utilities to Canadian energy infrastructure. Each position was selected for dividend reliability.

ASR Nederland

4.77 %3.53 EUR p.a.

NL0011872643

74.08 EUR95 %
55.88 EUR74.96 EUR
Insurance10+ years

Axa

5.19 %2.32 EUR p.a.

FR0000120628

44.73 EUR90 %
36.55 EUR45.66 EUR
Insurance6+ years

British American Tobacco

5.79 %2.84 EUR p.a.

GB0002875804

49.09 EUR31 %
43.02 EUR62.81 EUR
Consumer27+ years

Cembra Money Bk N

5.26 %4.58 CHF p.a.

CH0225173167

87.05 CHF12 %
84.50 CHF105.50 CHF
Cash10+ years

Elisa

6.44 %2.37 EUR p.a.

FI0009007884

36.80 EUR25 %
33.70 EUR45.90 EUR
Telecom10+ years

Enbridge Rg

5.69 %3.88 CAD p.a.

CA29250N1050

68.14 CAD31 %
62.42 CAD80.65 CAD
Energy29+ years

Enel

5.52 %0.49 EUR p.a.

IT0003128367

8.87 EUR44 %
7.75 EUR10.31 EUR
Energy5+ years

Italgas

5.09 %0.43 EUR p.a.

IT0005211237

8.45 EUR24 %
7.54 EUR11.30 EUR
Energy9+ years

Legal & General Rg

7.14 %0.21 GBP p.a.

GB0005603997

2.94 GBP76 %
2.17 GBP3.18 GBP
Insurance14+ years

mobilezone hldg N

7.10 %0.88 CHF p.a.

CH0276837694

12.40 CHF34 %
10.64 CHF15.86 CHF
Telecom8+ years

Nestle N

3.99 %3.04 CHF p.a.

CH0038863350

76.27 CHF36 %
70.29 CHF87.09 CHF
Consumer29+ years

Part Grp Hldg N

7.43 %45.55 CHF p.a.

CH0024608827

613.00 CHF1 %
609.40 CHF1,097.50 CHF
Financials14+ years

Rubis

5.71 %1.99 EUR p.a.

FR0013269123

34.84 EUR68 %
30.00 EUR37.08 EUR
Energy25+ years

Sanofi

5.56 %4.12 EUR p.a.

FR0000120578

74.05 EUR14 %
71.25 EUR91.15 EUR
Healthcare31+ years

Standard Life Rg

5.90 %0.55 GBP p.a.

GB00BGXQNP29

9.32 GBP92 %
6.21 GBP9.60 GBP
Insurance10+ years

Swiss Re N

4.52 %6.27 CHF p.a.

CH0126881561

138.75 CHF62 %
114.05 CHF153.85 CHF
Insurance12+ years

Vontobel Holding N

3.24 %3.00 CHF p.a.

CH0012335540

92.60 CHF95 %
58.20 CHF94.40 CHF
Financials12+ years

Zurich Insur Gr N

4.97 %29.65 CHF p.a.

CH0011075394

596.60 CHF72 %
521.00 CHF626.00 CHF
Insurance15+ years

18 of 18 companies shown

03

Recent changes

Every adjustment is documented so the current portfolio structure remains transparent.

  1. Cembra Money Bk N — new position

    Liquidity reserve allocated to the money market. Interest income and daily availability support the portfolio cash allocation.

    New positionCHF
  2. Enbridge Rg — increased position

    Position in the Canadian energy infrastructure company increased. Enbridge has raised its dividend for more than 25 consecutive years.

    IncreaseCAD
  3. Zurich Insur Gr N — dividend reinvested

    The received dividend was fully reinvested into the existing position — compounding instead of consumption.

    ReinvestmentCHF