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Strategy 4: Dividend + Technical

Combine fundamental dividend investing with technical timing for long-term wealth building.

When to Use

Long-term investing with better entry timing

This strategy is for investors who want to:

  • Build passive income through dividends
  • Hold positions for years
  • Use technicals to optimize entry points

Stock Selection (Fundamentals)

Before applying technicals, the stock must pass fundamental criteria:

CriteriaTarget
Dividend Yield> 2%
Dividend GrowthConsistent increases
Payout Ratio< 60% (sustainable)
P/E RatioReasonable for sector
Debt/Equity< 1.0

Quality Dividend Stocks

Look for:

  • Dividend Aristocrats - 25+ years of dividend increases
  • Dividend Kings - 50+ years of dividend increases
  • Strong moat - Competitive advantage

Entry Signals

Once fundamentals are confirmed, use technicals for timing:

SignalWeightDescription
RSI < 40HighNot overbought
Price near EMA 200HighAt long-term support
Price in lower half of 52W rangeMediumGood value
Ichimoku near cloud supportMediumTechnical support
Stochastic < 50LowNot extended

Ideal Entry Setup

✅ Fundamentally sound (dividend, P/E, debt)
✅ RSI < 40 (not overbought)
✅ Price near EMA 200 support
✅ In lower 50% of 52-week range
✅ No Death Cross

Exit Signals

For dividend stocks, exits are different:

SignalAction
Dividend cutExit immediately
Fundamentals deteriorateExit
Death CrossReview position
RSI > 80 for extended periodConsider trimming
Price 50%+ above EMA 200Consider trimming

When NOT to Sell

  • Short-term price drops (buy more!)
  • Market corrections (opportunity)
  • RSI temporarily overbought

Position Sizing

Full position for long-term hold

Core Position: 100% of intended allocation
Add on Dips: When RSI < 30 and fundamentals intact

Risk Management

ParameterValue
Stop-LossBelow EMA 200 (or fundamental stop)
Take-ProfitRarely - hold for income
Max Allocation5% per stock, 25% per sector
RebalanceAnnually

Example Trade

Stock: JNJ (Johnson & Johnson)
Dividend Yield: 3.0%
Dividend Growth: 60+ years
P/E: 15 (reasonable)

Technical Entry:
- RSI: 35 (not overbought) ✅
- Price: $155 (near EMA 200 at $152) ✅
- 52W Range: 30% (lower half) ✅

Entry: $155
Stop-Loss: $145 (below EMA 200)
Hold: Indefinitely (collect dividends)

Annual Income:
Position: $10,000
Dividend: 3% = $300/year
With DRIP: Compounds over time

Dividend Reinvestment (DRIP)

Reinvest dividends to compound returns:

Year 1: $10,000 × 3% = $300 dividend
Year 2: $10,300 × 3% = $309 dividend
Year 3: $10,609 × 3% = $318 dividend
...
Year 20: $18,061 × 3% = $542 dividend

Total value after 20 years: $18,061
(from $10,000 investment, dividends only)

Combining with Other Strategies

Market ConditionAction
Strong uptrendHold, don't add
Pullback to supportAdd to position
Major correctionAggressive buying
Bear marketDCA (Dollar Cost Average)

Next: Position Sizing