How the 30-Year Treasury Yield Quietly Reshapes Dividend Portfolios episode artwork

EPISODE · Aug 31, 2026 · 9 MIN

How the 30-Year Treasury Yield Quietly Reshapes Dividend Portfolios

from Dividend Investing with Fexingo: Income Stocks, Yield, and Long-Term Cash Flow Portfolios · host Fexingo

As the 30-year Treasury yield climbs toward 5.22 percent, dividend investors face a quiet but powerful shift: the competition for income just got stiffer, and not every stock can keep up. In this episode, Lucas and Luna dig into why the long bond's yield matters more than the Fed's short-term rate for income portfolios, and how that 5.22 percent figure is already showing up in the five-day moves of stocks like Coca-Cola, Johnson & Johnson, and Realty Income. They walk through the math of the 'earnings yield gap' and why a stock like Altria — up half a percent while the S&P slips — might be the canary in the coal mine. If you hold dividend payers, this episode helps you decide which ones can still justify their place in your portfolio and which ones are starting to look like bond proxies with worse risk. No hot takes, just the numbers and the logic. #DividendInvesting #30YearTreasury #IncomeInvesting #BondYields #DividendStocks #RealtyIncome #CocaCola #JohnsonAndJohnson #Altria #EarningsYield #PortfolioStrategy #YieldCurve #Finance #Investing #StockMarket #FexingoBusiness #BusinessPodcast #PersonalFinance Keep every episode free: buymeacoffee.com/fexingo

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How the 30-Year Treasury Yield Quietly Reshapes Dividend Portfolios

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