In 2010, I was just "testing waters" with my dividend investing strategy since I was still a newbie.
In 2011, there were so many events that gave me excellent opportunities to buy telcos and REITs.
-Japanese earthquake/tsunami/nuclear contamination,
-Euro Debt Crisis in PIGS,
-Arab Spring,
-US debt ceiling fight and subsequent rating downgrade.
All these events allow me to deploy most of my salary and bonuses to build up my dividend portfolio. 2011 was a super volatile year.
That's why u see such a big jump in my passive income.![]()
No went through 2008 no talk.


