Q: PGF made a new low on the 16th before Mr Schulich started buying another 2M shares. Now he owns 30% of the company. Looking at the financials I cannot find any reason for the optimism surely there are many other oil/gas companies that are in much better position. Care to speculate on that?
Q: EGBN missed on revenue estimates, but still had revenue similar to last year. However, the stock plummeted to a 4 year low. Is there anything else going on with this Bank?
I know it was downgraded by some investment firms. Would this be a good entry point or should I stay away.
Q: Following your comments on Paysigns (PAYS), I bought a small amount of it at the end of May. Since then, it has gone up a phenomenal 85% ! What is going on there ? At the present level, I am debating either to buy more to take advantage of my good fortune or sell before it turns as fast as it went up or simply put a stop loss. What would you do ?
A very grateful Montrealer,
Jacques
Q: I own preferred shares of GMP Capital. There is a transaction going on with GMP and Stifel Financial. What will be left of GMP? Would it be a suitable candidate for merger/takover? Thanks.
Q: Kindly comment on the news that Nemaska Lithium : Announces CAD 600M Equity Investment Proposal from The Pallinghurst Group
This investment should see them get to production in 2020?
Cheers,
Bryan
Q: Would sylogist and absolute make good merger candidates or are they too small to be of interest to anyone. I own both and wonder if I should dump absolute. The dividend is good but the stock goes nowhere. I am thinking I don’t really need both if in the same space.
Q: You comment on Well in 5I Video on 7/9 & in The Globe & Mail article today.(sparked a 4% increase today @ $1.56) Is it a good entry point now, aware of u comment for long term. Txs for u usual great services & services
Q: So things just don’t seem to be turning around for this company. Do you see any upside or is it time to take the loss and reinvest in a company with a more positive outlook like LSPD?
Q: Currently hold VYM in my US$ RRIF. I note that SDIV has a much higher dividend yield, is that because of it's global exposure? Is the tax treatment the same for both inside the RRIF?