Your starting to see the big picture better than some W69--You've done ok so thats good (its not however the goose that laid the golden egg in terms of the entire div.)--Those with a huge divi will have to reinvest back in the co. to keep the same value in their portfolio (setting aside whether the share is going to go up or down--which of course is a consideration any investor makes before buying any share)
to illustrate we really need to ask those with a large divi ,what the state of their portfolio is in that share,post divi-(is it farther in the red?(or less in the black)
I would imagine in this case there is going to be some of the divi that is clear so in that sense the risk payed off--but to spend it all,you ,imo are spending some of that ''red arrow'' dosh.Maybe the SP will increase and make up for it ,and maybe it wont ..just trying to keep it real when deciding whether to buy strictly for the divis---This is not meant to spoil the party,so carry on.