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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: Hi 5I,

I need some clarification on your view of Syz. On Jan 29 a question from Rod on Syz top up yielded a "hold" response, and same type of question asked by Pierre on Jan 28 yielded a cryptic "fine" response. I too am looking at adding to my position (within target %) and came across an article in today's Globe stating CEO bought over $300k of shares in January. It would be great if your answer could delve into the potential of adding too/holding this company for 5+ years.

Thanks,
Chris M.
Read Answer Asked by Christopher on February 04, 2020
Q: Have a small position in UTX(US). The company has declared a spin-off of Otis and Carrier which ( I assume??) will leave me with shares in three companies as opposed to one company. I tend to not like small positions as it is now three times more work to moniter. What would you do? Sell UTX now or just accept that I now have two additional companies to watch? Thanks Ron
Read Answer Asked by Ronald on February 04, 2020
Q: In a diversified RRSP, which two from above listed equities would be best chosen at this time (2-3 year hold) for income and some growth with strong consideration given to safety of the dividend.

Thank you.
Read Answer Asked by Tony on February 04, 2020
Q: On Feb. 3, a member wrote on the question board that "TD Waterhouse stopped coverage on GSY only because their analyst quit." Would a brokerage as large as TD completely drop coverage of a company if an analyst left their organization, or would they simply transfer coverage of the company to another analyst which they employed (or perhaps hire another analyst if the company in question could not be evaluated by analysts within their employ)? I would figure that any brokerage which offers analysis of publicly traded companies would not drop evaluation of a given company altogether due to one of their own analysts seeking employment elsewhere. I am curious to know your thoughts on this question. Thanks so much!
Read Answer Asked by Domenic on February 04, 2020
Q: I feel I am over exposed to the Canadian Financial sector with TD and BNS making up 9% & 11% respectively of my portfolio. As well, I'm looking for more growth. I wish to sell one position and increase my US equities such as MA, V, MSFT, CRM. Would you consider this a reasonable plan and what bank would you recommend selling? Thank you.
Read Answer Asked by Shawn on February 04, 2020