Q: With the demand most likely increasing for rare earths and other precious metals, especially as more EV production will be coming on line, do you see this ETF as a good way to have some interest in this sector. It seems to have diversified holdings. with approximately 46% of the holdings in the Chinese companies that currently are the dominant market players.. I like that Australian companies are also well represented. Is this a worthwhile, growth oriented investment ?
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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: Can you please give me your view on these two stocks. There has not been too many questions on them on your list.. Speculative, is there a future, etc.
Q: Looking at there announcement yesterday, do you see enough to start to get them out of the dog house. Or will that not happen until dividend is reintroduced?
- Amgen Inc. (AMGN)
- Alphabet Inc. (GOOG)
- AbbVie Inc. (ABBV)
- Pfizer Inc. (PFE)
- Verizon Communications Inc. (VZ)
- Knight Therapeutics Inc. (GUD)
- iShares U.S. Medical Devices ETF (IHI)
- T-Mobile US Inc. (TMUS)
- Pinterest Inc. Class A (PINS)
Q: Recently in response to questions, 5iR provided target sector weightings for a dividend conservative portfolio and also for a balanced portfolio.
For my income portfolio, with a target sector weight of 10% for Communications, I have a position of 3.50% in BCE and, for health care, with a target sector weight of 10%, I have no positions. What are some Cdn and US stocks and ETF, even in Cdn dollars, would you suggest I consider.
When it comes to the balance portfolio, the communication target sector weight of 5%, I have at position of 3.00% in Telus and in the case of health care, with a target sector weighting of 10% (say in US stocks), I hold no positions. Again, what are some US stocks and ETF, even in Cdn dollars, would you suggest I consider.
Yes this is two questions in one...so please deduct two credits............Again, Thanks........Tom
For my income portfolio, with a target sector weight of 10% for Communications, I have a position of 3.50% in BCE and, for health care, with a target sector weight of 10%, I have no positions. What are some Cdn and US stocks and ETF, even in Cdn dollars, would you suggest I consider.
When it comes to the balance portfolio, the communication target sector weight of 5%, I have at position of 3.00% in Telus and in the case of health care, with a target sector weighting of 10% (say in US stocks), I hold no positions. Again, what are some US stocks and ETF, even in Cdn dollars, would you suggest I consider.
Yes this is two questions in one...so please deduct two credits............Again, Thanks........Tom
Q: Hi 5i Team, I already have a full position with Ray/A.TO holding it for a year now, recently it had a breakout at SP $7.27 (increased holding from 5% to 10%) my technical indicator shows a price objective around sub 9.00 which gives a 25% move. Needed your fundamental input to its upcoming earning expectation, debt and business prospects post covid...Thanks
Q: Good morning
need some help what to do with this WTS which is in my TSFA leftover from a S bond
let it expire or is there another option?
thank you very much
Margit
need some help what to do with this WTS which is in my TSFA leftover from a S bond
let it expire or is there another option?
thank you very much
Margit
- Costco Wholesale Corporation (COST)
- Alphabet Inc. (GOOG)
- Microsoft Corporation (MSFT)
- Procter & Gamble Company (The) (PG)
Q: What is your opinion in MSFT and GOOG ...... Looking for some safe bets with potential for upside over 1-2 year period.... I have some money sitting in a savings account doing nothing, wanted to park that in Safer stocks with potential for some gains.....any other stocks in your opinion which would be good candidates..?
Also what is the difference between GOOG and GOOGL
Also what is the difference between GOOG and GOOGL
Q: DYA announced a collaboration with Martin Technologies LLC Corporation today. Is there and significance to this announcement? Thank you
Q: Hi Peter,your thought about Wish,how does it compare to AT?
I am in the process of adjusting my TSFA,you think its a good addition or would you prefer PHO.
What about martello?this one seems to be a laggard.
I am in the process of adjusting my TSFA,you think its a good addition or would you prefer PHO.
What about martello?this one seems to be a laggard.
Q: I hold shares in this company - is the dividend safe and is it a buy, hold or sell
Thank you for your reply
Hanna
Thank you for your reply
Hanna
Q: I have held LSPD and GSY for quite a while now in an RRSP and RESP respectively with still 10 plus year timelines on those portfolios. I purchased LSPD at about $33 (it's now around $90) and GSY at about $50 (it's over $100 now) and I have taken some profits out along the way. Do you see these two continuing to do really well? I'm wondering if you would recommend just holding onto my remaining shares for the foreseeable future (say another 1-3 years) or would it make sense to sell while ahead and put that money in something with a bit more growth potential? THX, Jeff
Q: Could you comment on Emerge Ark Geonomics Biotech etf? Is it a buy at this time?
Thank you for your consistency in answering all the questions you receive. It keeps me from not impulse buying or selling.
Jim
Thank you for your consistency in answering all the questions you receive. It keeps me from not impulse buying or selling.
Jim
Q: Hi Peter/Ryan I hold 200 shares of LSPD in my RRSP and was thinking of transferring it in kind to my TFSA how bad would the tax implication be for me and Is it worth it. Thanks
Q: May I please have your opinion for IDEX? Is this company you would have any interest in at current price 3-5 years hold? Many thanks
- Cisco Systems Inc. (CSCO)
- NVIDIA Corporation (NVDA)
- QUALCOMM Incorporated (QCOM)
- Vertex Pharmaceuticals Incorporated (VRTX)
- AbbVie Inc. (ABBV)
- Bank of America Corporation (BAC)
- Stryker Corporation (SYK)
- Truist Financial Corporation (TFC)
Q: I have a small USA portfolio consisting of these darlings which I've held for approx. 3 yrs. It's like watching a snail race. Can you recommend a replacement or two for each? I've done OK with SYK and was in good shape with Vertex until last October. Take as many Q credits as needed.
Q: GEVO Hi Peter and team,
Could you please comment on this company? I would appreciate your opinion. Do you think it is a good investment for 1-2 years term?
Thank you very much!
Could you please comment on this company? I would appreciate your opinion. Do you think it is a good investment for 1-2 years term?
Thank you very much!
Q: In response to a question about SSJ you said:Its record of execution is not that great, though, and investors likely want more consistency here.
I woud be interested about eactly what you mean.
Thanks
CDJ
I woud be interested about eactly what you mean.
Thanks
CDJ
Q: Have you any thoughts as to why ATD.B did not bounce back to its pre-announcement- Carrefour-purchase price of about $42 or so? Thank you for your sevice.
Q: Now that Biden had made it clear that he will cancel Keystone pipe line. What impact does this have on the above four companies? With this in mind how would rank these companies based on growth and safety of dividends?
Thank you
Thank you
Q: Hello 5i Team
Canadian Utilities (CU) has announced a $0.0044 (1.010565 %) increase in the quarterly dividend, continuing CU 49 year dividend increase streak.
1 – Why do companies increase dividends by “oddball” amounts, in this particular case why would CU not increased the quarterly dividend from $0.4354 to $0.4400 (instead of $0.4398) which would increase the total annual dividends by approximately $218,000 on total annual dividends of $475M.
2 – Is this a sign the board increased the dividend a “token” amount to maintain their 49 year history of increased dividend and that CU is facing stagnant growth in their business (which is not surprising given the majority of their business is Alberta based)?
3 – CU increased their dividend by 1 % and ATCO (which holds 52.2 % of CU) increased their dividend by 3.1 %. Does this make ATCO a better investment, given ATCO’s other divisions (Structures & Logistics and Neltume Ports) are providing better growth, leading to a higher increasing dividend rate, although a lower overall yield?
Thank you
Canadian Utilities (CU) has announced a $0.0044 (1.010565 %) increase in the quarterly dividend, continuing CU 49 year dividend increase streak.
1 – Why do companies increase dividends by “oddball” amounts, in this particular case why would CU not increased the quarterly dividend from $0.4354 to $0.4400 (instead of $0.4398) which would increase the total annual dividends by approximately $218,000 on total annual dividends of $475M.
2 – Is this a sign the board increased the dividend a “token” amount to maintain their 49 year history of increased dividend and that CU is facing stagnant growth in their business (which is not surprising given the majority of their business is Alberta based)?
3 – CU increased their dividend by 1 % and ATCO (which holds 52.2 % of CU) increased their dividend by 3.1 %. Does this make ATCO a better investment, given ATCO’s other divisions (Structures & Logistics and Neltume Ports) are providing better growth, leading to a higher increasing dividend rate, although a lower overall yield?
Thank you