Q: Can you see if any institutions have been buying shares lately? A screenshot from Bloomberg would be great
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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: Hello Peter,
LSPD is being referred to as the mini shopify. Looking at the past, concordia was the mini valeant, DHX Media, the mini Disney, Grande West as mini NFI group, etc and all of the mini's have tanked. Can you shed light on why LSPD may not be the new tanked version of Shopify? Thanks very much.
LSPD is being referred to as the mini shopify. Looking at the past, concordia was the mini valeant, DHX Media, the mini Disney, Grande West as mini NFI group, etc and all of the mini's have tanked. Can you shed light on why LSPD may not be the new tanked version of Shopify? Thanks very much.
Q: Do you see any reason for the big drop today?
Q: What could be the worst outcome for this company in your opinion ?
Is there a forward for this company since there is now a trust a credibility issue?
Thank you
Is there a forward for this company since there is now a trust a credibility issue?
Thank you
Q: Thoughts?
http://www.globenewswire.com/news-release/2019/07/08/1879781/0/en/Knight-Announces-Normal-Course-Issuer-Bid.html
http://www.globenewswire.com/news-release/2019/07/08/1879781/0/en/Knight-Announces-Normal-Course-Issuer-Bid.html
- Walmart Inc. (WMT)
- Enbridge Inc. (ENB)
- AltaGas Ltd. (ALA)
- Algonquin Power & Utilities Corp. (AQN)
- Vermilion Energy Inc. (VET)
- Capital Power Corporation (CPX)
- Chartwell Retirement Residences (CSH.UN)
- NFI Group Inc. (NFI)
- Parkland Corporation (PKI)
- Alaris Equity Partners Income Trust (AD.UN)
- Western Forest Products Inc. (WEF)
- Savaria Corporation (SIS)
- Exchange Income Corporation (EIF)
- NorthWest Healthcare Properties Real Estate Investment Trust (NWH.UN)
- Vanguard U.S. Dividend Appreciation Index ETF (VGG)
- Chorus Aviation Inc. Voting and Variable Voting Shares (CHR)
- Kraken Robotics Inc. (PNG)
- BeWhere Holdings Inc. (BEW)
- Teck Resources Ltd (TECK)
- ECN Capital Corp. 6.50% Cumulative 5-Year Minimum Rate Reset Preferred Shares Series A (ECN.PR.A)
Q: Enb in my portfolio has a book value of $42.16
And a yield of 7%. It now represents 10% of my portfolio. This my largest position in a portfolio of $630000. I generally buy for dividend and growth. Maybe I should reduce my position in ENB and take a 5% position in another dividend paying stock with growth potential. eg. CM or other opportunities. Any suggestions.
And a yield of 7%. It now represents 10% of my portfolio. This my largest position in a portfolio of $630000. I generally buy for dividend and growth. Maybe I should reduce my position in ENB and take a 5% position in another dividend paying stock with growth potential. eg. CM or other opportunities. Any suggestions.
- BMO Low Volatility Canadian Equity ETF (ZLB)
- Vanguard U.S. Dividend Appreciation Index ETF (VGG)
- CI Morningstar Canada Momentum Index ETF (WXM)
Q: I have a 2 year old RESP for a 3 year old grand daughter to which I will contribute in about a week on her birthday. It currently holds only VGG. Should I add the $3000 to VGG or can you suggest something else. I actively monitor my own investments but the RESP I look at only at this time of year.
Q: Can I please get your thoughts on this company? Thanks.
Q: Hi could you please give the most recent shorts on EIF please. Thanks for answering my dreary question every two weeks. aeo
- Toronto-Dominion Bank (The) (TD)
- Bank of Nova Scotia (The) (BNS)
- Enbridge Inc. (ENB)
- TC Energy Corporation (TRP)
- Shopify Inc. Class A Subordinate Voting Shares (SHOP)
- goeasy Ltd. (GSY)
Q: HI,
I have about a 15% position of TRP in
my RRSP and was thinking of selling and replacing with a non-energy related equivalent dividend stock. I also have large positions of GSY, TD, SHOP, ENB, BNS, AAPL, GOOGL, SPY, V, JPM so would not add to these.
What would you recommend? Thank you.
I have about a 15% position of TRP in
my RRSP and was thinking of selling and replacing with a non-energy related equivalent dividend stock. I also have large positions of GSY, TD, SHOP, ENB, BNS, AAPL, GOOGL, SPY, V, JPM so would not add to these.
What would you recommend? Thank you.
Q: Peter,
I am trying to get a handle on the way the industry calculates debt to equity ratio. I look at ATD.B and on 5-I it shows .84. Morningstar shows 1.17. They don't seem to include other LT liabilities. My calculation shows 15,577 / 7563 = 2.05 ( April 2019 YE).
Please advise the calculation method that is consistent in the industry so I can compare apples to apples with different companies.
Thank you,
Paul
I am trying to get a handle on the way the industry calculates debt to equity ratio. I look at ATD.B and on 5-I it shows .84. Morningstar shows 1.17. They don't seem to include other LT liabilities. My calculation shows 15,577 / 7563 = 2.05 ( April 2019 YE).
Please advise the calculation method that is consistent in the industry so I can compare apples to apples with different companies.
Thank you,
Paul
Q: Hi Group - I am getting a bit concerned about the US dollar verses CAD, I hold 50% of my portfolio in us funds. If I believe that the US stock holdings I presently own are way more solid than Canadian companies but am concerned about the US dollar dropping significantly what defensive strategy should I consider? PS I trade with RBC direct investing Thanks
Q: What are your thoughts on Chemtrade?
Q: I'm confused about the performance of these ETFs from CI First Asset. On the Globe and Mail site, their performance is hugely different from that listed on the CI First Asset site.
The Globe has the monthly, three month and YTD performance of RWU as: 6.5%, 11.35%, and 27.21%. Yet CI Financial has them as -1.6%, 4% and 14%
The Globe has the Monthly, three month and YTD performance of YXM as 8.28%, 4.37% and 24.64% while CI Financial listed them as -5.45%, -3.98% and 11.57%
I find it hard to believe CI Financial would under-report, but how is the Globe's information so exaggerated? What am I missing here? Their performance is impressive on the G&M site. On their own... not so much.
The Globe has the monthly, three month and YTD performance of RWU as: 6.5%, 11.35%, and 27.21%. Yet CI Financial has them as -1.6%, 4% and 14%
The Globe has the Monthly, three month and YTD performance of YXM as 8.28%, 4.37% and 24.64% while CI Financial listed them as -5.45%, -3.98% and 11.57%
I find it hard to believe CI Financial would under-report, but how is the Globe's information so exaggerated? What am I missing here? Their performance is impressive on the G&M site. On their own... not so much.
Q: Hi 5i,
Can I get your thoughts on Personalis, Inc.? It has pulled back since the IPO. What do you think of the risk/reward ratio? Would it compare to Guardant?
TIA!
Can I get your thoughts on Personalis, Inc.? It has pulled back since the IPO. What do you think of the risk/reward ratio? Would it compare to Guardant?
TIA!
Q: If these companies more or less share the same space, which would you prefer? Thanks as always.
Q: Hi :
I noticed that CM is selling at low P/E (9.2) and analysts are very pessimistic with 12 on "on hold". I do not like CIBC and most of the time I own TD and NA. , but, sometimes being contrarian could be the right approach by considering the regression to the mean effect. I am very low on banks and financials now because I feel we are at the end of the cycle and banks have betas that are a bit high for me. Investment horizon is 5 years at least. Would you buy now ?, or wait until it feels like it bottoms ?, what criteria would you use to get in ?.
thanks
I noticed that CM is selling at low P/E (9.2) and analysts are very pessimistic with 12 on "on hold". I do not like CIBC and most of the time I own TD and NA. , but, sometimes being contrarian could be the right approach by considering the regression to the mean effect. I am very low on banks and financials now because I feel we are at the end of the cycle and banks have betas that are a bit high for me. Investment horizon is 5 years at least. Would you buy now ?, or wait until it feels like it bottoms ?, what criteria would you use to get in ?.
thanks
Q: I bought Micron awhile back after it was featured on one of your BNN appearances. Currently down an insignificant amount after the little rally in the past two weeks. My question is whether now is the time to exit or if you still see good times ahead? There seems to be plenty of opinion out there that the sector is one to avoid right now. If selling can you suggest your favourite replacement in the US tech sector with exceptional growth prospects?
Q: It keeps beating expectations,why it has not shot up?What are the Street & your expectations of the upcoming Q? Txs for u usual great services & expectation. Very sad news-K Leonard is gone from NBA champ.Raptors
Q: A few month ago I purchased some shares in Can Trust Holdings and these shares have now decreased in value- what is the future outlook for this company? Should I hold or sell?
Your advice is very much appreciated - thank you
Your advice is very much appreciated - thank you