Q: Would you think that Amazon's announcement yesterday about venturing back into the drug prescription business is affecting the performance of NBLY?
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Investment Q&A
Not investment advice or solicitation to buy/sell securities. Do your own due diligence and/or consult an advisor.
Q: Within a TFSA is the dividend of VFV:CA (Vanguard S&P 500 Index ETF) subject to a withholding tax?
Thank you.
Thank you.
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AbbVie Inc. (ABBV)
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JPMorgan Chase & Co. (JPM)
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Merck & Company Inc. (MRK)
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PepsiCo Inc. (PEP)
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Procter & Gamble Company (The) (PG)
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Target Corporation (TGT)
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Exchange Income Corporation (EIF)
Q: The initial investment on these and others has doubled. I do not require the funds immediately. I know these are outstanding companies. Each makes up 2% to 3% of the portfolio that is up by 10.5%. In this environment do you still abide by the statement "let the winners run", even to this extent. Should they be trimmed back to the initial cost, or should they be replaced? There are sixty positions in the portfolio balanced through all 11 sectors. I am a 77 year old dividend value investor.
Thank you for all your great input
Stanley
Thank you for all your great input
Stanley
Q: Hi Team, Cannacord stock remains above the offer price and is creeping a little higher day by day. A few weeks back you put the odds of a higher offer at about 10%. Has anything in the recent CF price action or any news changed your view on this?
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iShares S&P/TSX Global Base Metals Index ETF (XBM)
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Global X Copper Miners ETF (COPX)
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Global X Copper Producers Index ETF (COPP)
Q: I believe in copper investments for long term for various reasons.What would be your choice concerning copper mining stocks ETF,I noticed that COPP holds mostly CDN stocks and COPX is quite diversified geographically.Any other copper mining stock ETFs suggested ?
Q: Good morning 5i,
I enjoyed reading your latest market report on the potential for decreasing inflation, and am thinking of tweaking some sector realignment to capture this possibility.
I have had a good 2-3 year run with RSI but their earning do not look good so am planning on selling this. Will then redeploy funds into utilities which are underweight currently. Does this approach make sense for an income investor?
I enjoyed reading your latest market report on the potential for decreasing inflation, and am thinking of tweaking some sector realignment to capture this possibility.
I have had a good 2-3 year run with RSI but their earning do not look good so am planning on selling this. Will then redeploy funds into utilities which are underweight currently. Does this approach make sense for an income investor?
Q: Hi Team,
Any comments on the news from Shop today in regards to pricing increases? One way to profitablity if it has pricing power!! Thanks
Shane.
Any comments on the news from Shop today in regards to pricing increases? One way to profitablity if it has pricing power!! Thanks
Shane.
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Adobe Inc. (ADBE)
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Amazon.com Inc. (AMZN)
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Alphabet Inc. (GOOGL)
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Salesforce Inc. (CRM)
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Roku Inc. (ROKU)
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Unity Software Inc. (U)
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Upstart Holdings Inc. (UPST)
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Affirm Holdings Inc. (AFRM)
Q: Hello,
Are there any US or Canadian companies you see as attractive opportunities for medium to short-term option plays? Short-term being less than a year (3-6 months, medium-term being 1-2 years. I understand these short-term price changes can really be a toss-up, but am cautiously optimistic about the market pricing in current fears and moving upwards over the next year.
Also, am wondering if this specifically would be attractive to you: GOOGL $1.81 @ 110 Strike April 21 Expiration
Are there any US or Canadian companies you see as attractive opportunities for medium to short-term option plays? Short-term being less than a year (3-6 months, medium-term being 1-2 years. I understand these short-term price changes can really be a toss-up, but am cautiously optimistic about the market pricing in current fears and moving upwards over the next year.
Also, am wondering if this specifically would be attractive to you: GOOGL $1.81 @ 110 Strike April 21 Expiration
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NexGen Energy Ltd. (NXE)
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Energy Fuels Inc. (EFR)
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Fission Uranium Corp. (FCU)
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Encore Energy Corp. (EU)
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Global Atomic Corporation (GLO)
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Uranium Energy Corp. (UEC)
Q: Hello. On uranium companies, what stocks would you look to for outsized returns, in a uranium bull market, irrespective of risks? I’ve listed some for comments but would welcome your thoughts on other potential companies. Of those listed, in addition to any others you might mention, please rank by preference (again on the assumption of a uranium bull market). Thanks!
Q: How do you think REITS will do in 2023? What would be your preferred ETF? Thank you.
Q: Thank you for your report yesterday on month-to-month inflation, which I found very useful. Is month-to-month inflation something that you have been reporting consistently, or would you consider reporting it from now on given the focus at the moment?
Q: After further review their most recent acquisition not only is large in relative terms the cash flow yield and payback period looks extremely attractive. Exiting 2024(assuming $80 barrel) the company should have a pristine balance sheet with massive cash flow for many years to follow. Is that your assessment assuming same oil price and no other M&A?
Q: Can you add some colour to its share price from the point in time ex dividend date of special $7.50 payout through to its 52 week high and its now current low. What are the key drivers? What should we expect from the upcoming investor day in march?
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Visa Inc. (V)
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TMX Group Limited (X)
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goeasy Ltd. (GSY)
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Brookfield Corporation Class A Limited Voting Shares (BN)
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Brookfield Asset Management Ltd. Class A Limited Voting Shares (BAM)
Q: At 21.55%, I'm overweight financials. My problem is that I like all my stocks in this sector: BAM (2.9%), BN (4.9%), GSY (4.4%), X (5.2%), V (4.2%). In addition, all save V are in a non-registered account and would incur capital gains when sold.
In my view, all will do well when the market turns. Is there enough difference in terms of their drivers than I can continue to hold all 5? And if you would suggest I (reluctantly) trim, which stock(s) would you reduce? Thank you.
In my view, all will do well when the market turns. Is there enough difference in terms of their drivers than I can continue to hold all 5? And if you would suggest I (reluctantly) trim, which stock(s) would you reduce? Thank you.
Q: how come TVE wouldn't go up in price , I own it and it looks like it should be doing great compared to some companies that are.
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NVIDIA Corporation (NVDA)
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Advanced Micro Devices Inc. (AMD)
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iShares PHLX SOX Semiconductor Sector Index Fund (SOXX)
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Aehr Test Systems (AEHR)
Q: I'm primarily a growth investor with a tolerance for risk. I do not have any semi-conductor companies in my portfolio. I was considering AMD or NVDA but I'm not wondering if AEHR might be good play to consider since it does chip testing. It does seem to be growing revenue quickly and surprising the market with it's earnings. What comments/advice do you have wrt to how I should think about the chip players including the high tech testing play that AEHR offers? Thanks!
Q: I have owned IVN for many, many years....back when it was below $1. I have sold bits as it has moved up over the years. I was always told not to fall in love with a stock and feel I might be with IVN.
Can you give me a best case senerio on what the top end of this company could be. I always had in my mind it was worth $12-14, but is it possible this is a $20 stock or maybe a $30 stock someday?
If everything fall in place as planned, no political issues, metal prices keep increasing, etc, what do you see this company being worth in the next 4-5 or even 10 years?
Will not hold you to it, just looking for your opinion.
Thanks.
Can you give me a best case senerio on what the top end of this company could be. I always had in my mind it was worth $12-14, but is it possible this is a $20 stock or maybe a $30 stock someday?
If everything fall in place as planned, no political issues, metal prices keep increasing, etc, what do you see this company being worth in the next 4-5 or even 10 years?
Will not hold you to it, just looking for your opinion.
Thanks.
Q: Your opinion of Teck please.
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Toronto-Dominion Bank (The) (TD)
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iShares S&P/TSX Canadian Dividend Aristocrats Index ETF (CDZ)
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Purpose High Interest Savings Fund (PSA)
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Global X High Interest Savings ETF (CASH)
Q: I have an RESP for my nephew who is in grade 12 now and attending a college in the fall. His parents are not great savers, and I don't have children, so I'm fine to subsidize his education. I currently hold only CDZ and TD in the RESP and would like to add some additional cash soon.
What's your advice on how to proceed? Do I add to one or both, or would I be better to invest in CASH or PSA.
Thanks,
Robert
What's your advice on how to proceed? Do I add to one or both, or would I be better to invest in CASH or PSA.
Thanks,
Robert
Q: Hello, i need a recommandation in US with high dividend and very small risk .Thank you