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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: Since beginning of June EIF has been buying back shares as well as insiders buying according to TD website. Does 5i sources verify this.I would like to increase my position to 5% as being from MB I am familar with the company. I bought HCG when the company did the Dutch Auction but when the CEO was selling around the same time this should have been a red flag for me.
Read Answer Asked by blake on June 15, 2017
Q: Good afternoon 5i,
I recently sold AW.UN in my RRIF as I am trying to limit the non-portfolio holdings. Could you recommend a replacement from the income portfolio or should I just buy it back? Already hold most of the Income Portfolio holdings but willing to sell in other accounts to insert in RRIF.Thanks for the always helpful advice.

Ted
Read Answer Asked by Ted on June 15, 2017
Q: Please rank ENB, TRP, PPL, IPL & Key as to their dividend rate, safety of the dividend and the volatility of the share price from best to last. I want to add one of these companies to a RIF. Thanks
Read Answer Asked by Richard on June 15, 2017
Q: i am down 10 % or more om tog and hwo . both pay reasonable dividends.if contrary to what may wishful thinking energy doesnt get any better how long can they pay dividends ?should i sell them now.
cbl i purchased a month or so ago at $14 after watching a BNN market call where the host was convincing that due to major sharholder arrangement th stock will close around $18 by end june. it pay an attractive div.
did i understand this correctly.? anycase should i continue to hold cbl
Read Answer Asked by thambirajah on June 15, 2017
Q: Hi Peter, Is there a co-relation between growth factors and share price. MY screener shows some stocks with great growth ratios Like EPS, SALES AND INCOME growth in double digits but very poor performance ( LIF). Also, some with 2/3 negative growth ratios have stellar performance (BLX).
Am I missing something or the correlation is not straightforward? Which is the more reliable indicator? What is your favorite screening things. Thanks.
Read Answer Asked by RUPINDER on June 14, 2017
Q: To add some diversity to my Canadian holdings, over the last 5 years I've held VUS, VFV and VEF. VEF is about 11% of the portfolio. The 2 US ETFs have outperformed VEF almost 2 to 1.
My question is do you think it's necessary to have EAFE exposure? I'm thinking of selling VEF to raise cash so I'm ready for the next dip in north American markets. Thanks for all of your great advice over the years. cheers
Read Answer Asked by Andrew on June 14, 2017
Q: I am putting together a portfolio for my daughter who is somewhat risk averse. The portfolio will include a TFSA, RRSP and open account. A recurring question I know but does the drop in STN make it a more compelling long-term buy now than WSP or does WSP's momentum win out? Since the stock could go in any of the accounts, I am wondering if WSP's dividend in the open account is just enough to win the day? Income is not the prime pre-requisite here but it wouldn't hurt either.

Appreciate your insight.

Paul F.
Read Answer Asked by Paul on June 14, 2017