Q: In Canada we have lockdowns so everyone is home wearing out mattresses .In the US no lock downs so dont need new mattresses. snbr in us up 80% this year. ZZZ in Canada is flat or down.Is there that big a difference between the two markets and is ZZZ a screaming buy
Q: Can you provide any insights on Capital Power's earnings, released this morning? Does today's news strengthen or weaken the thesis in investing in CPX?
Q: I watched a You Tube clip where a guest stated that SLV, SIL and PSLV were having difficulty obtaining physical silver. Can that be verified?
I would also like to know how much physical silver PSLV holds. Is that information available to the investing public?
Q: Why accounts for BAM's increased interest in Alberta oil and gas over the last two years;ENB gas lines ,TA position and now IPL?Is there a grand strategy?
Regards
Bob Rose
I see that Wishpond recently announced that they have entered into a market maker contract with PI Financial. Is this typical? Would this been done to ensure to that the exchange's listing requirements are met in regards to volume or transactions?
Q: Can you please explain the impact of rising inflation on a long term holding of 1) short term bond fund such as SHY and 2) inflation protected bonds such as TIP.
Q: I have a 1/2 position in WELL and, as telemedicine is a fairly new field, I would prefer to take a 1/2 position in another company rather than a full position in WELL. I am considering either THNK, DOC or SHG. Which company are you the most comfortable with for a long term hold? Or would you suggest another company in the same field that you like better?
Q: I accidentally bought additional shares of CRWD in my unregistered CDN account instead of the U$ unregistered account. Note C$ is stronger vs U$ than when I bought it. Which would be my best option, leave as is or journal to U$ account.
Trying as much as possible to limit capital gains in 2021.
Q: QBTC share price has gone negative relative to the NAV as you had mentioned - but it is going deeply negative - close to 10% (?) Would there be something more underlying to this than simply competition? Over the past 2 days there has been about an 8% differential as I am writing.
Q: ENLV Would you buy this stock. Seems quite exciting with there promising covid drug Alocetra. There ticker symbol did not come up in your search bar.
Q: This is a question about transferring GSY from my growth portfolio to my balanced portfolio. Both portfolio's are balanced and diversified. (I also have an income portfolio.) GSY is now more than 10% weight in my growth portfolio. And the balanced portfolio is 3 times plus the size of my growth portfolio. Transferring GSY from growth to balanced would mean not having to trim GSY....and my inclination to do this transfer stems from the recent move of SHOP from growth to balance, as I think GSY is now "mature". What say you about this transfer idea?.........Tom
Q: Peter and His Wonder Team
Cameo Co. just won there battle with Revenue Canada and yet the stock went down. Please give your opinion on this because I was surprised. What are the factors at play here? Thanks!
Q: I sold my shares on SHOP the day before its earnings release which turned out to be a good move, and I lost my LSPD after its earnings to a stop loss at $90. I'm thinking that if I want to get back into one of them that LSPD would be preferred at this time because it will benefit from the re-opening trade, particularly restaurants, whereas re-opening will be of little benefit to SHOP. Do you agree?
Q: Hi, These companies are generally liked by 5i and we have holdings in each as follows
TIXT 0.5%,
DND 1% and
NVEI 1.5%
TIXT was recently added to your Growth Portfolio with 2.5% position.
Although, they operate in different areas of technology, from the future Growth perspective, how would you rate them in order, if we have some cash to add. Also, it would help, if you could provide rationale behind your decision to add TIXT to Growth portfolio, vis a vis DND and NVEI. Thank You
Q: Do you prefer VBAL or XBAl for an RESP? Looks like XBAL has had better performance and has a slightly higher dividend 1.8 vs 2. However XBAL has 515M assest vs VBAL which has 1.4B assets. Does this make XBAL riskier? Which would you choose?