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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 Team,

I have a slightly overweight position in Franco Nevada, a half position in each of Agnico Eagle and Klondex, less than a half position in Silver Wheaton and bullion holdings including CEF.A.

I am trying to clean up a bit and am considering selling SLW and adding the proceeds to CEF.A, and selling KDX and adding the proceeds to AEM. I would be left with FNV, AEM and bullion as a result.

This would allow me to increase my weighting in bullion and reduce my weighting in bullion equities and move to full positions (or so) in the remaining holdings.

Do you have any feedback on this plan?

Thank you, Michael.
Read Answer Asked by Michael on November 30, 2016
Q: Are there any public companies out there with a good foothold in the graphene development market? I read that it's going to be the super material of the future, but that it's early days still. A recent story about new battery technology based on graphene that can be charged in seconds and last for weeks has tweaked my interest in this material.
Read Answer Asked by Rick on November 30, 2016
Q: Hello,

The current theme is that REITS and utilities will be drifting lower now with Trump spending announcements and higher interest rates on the horizon. Yet, yesterday (some) REITS had a good jump up. My questions are:
1. Would you hold buying REITS and utilities until there is clear direction of the market?
2. If you wanting to deploy 50K for each (REITS and utilities) what would be your preferred names?

Thank you
M
Read Answer Asked by Marios on November 30, 2016
Q: Good afternoon. I trust everyone is well. I purchased a partial position in this stock after the consolidation and dividend announcement. It seems to be stabilizing here and I am considering purchasing the remainder of my position. Have your opinions changed since September? An update would be appreciated. Thank you, and my best wishes to all.
Read Answer Asked by william on November 30, 2016
Q: I see that you like QCOM a fair bit. I have considerable cap. gains in NXPI which I am waiting for the year rollover to trigger. First, what percentage would NXPI earnings be adding to QCOM if it were to go thorough today? Would QCOM be good choice as a replacement? Also, would this be the way to play this or should I wait for the deal go through? In comparison I am thinking QCOM will be a fair bit less volatile. Is this a fair assessment?
Read Answer Asked by Gerald on November 30, 2016
Q: In light of the big pipeline announcements today by the liberals could you please group the above stocks as to the winners and losers. e.g Big winner, Winner, No Effect, Loser and Big Loser. This is very topical and stave of some questions and be worthy of an article. I look for to your answers and advise as always.
mike
Read Answer Asked by Mike on November 30, 2016
Q: Hi guys, a new member here. I have owned and sold both BIP.un and BEP.un as I do not understand their accounting methodology. Your report on BEP.un reflects the growing asset base, FFO, and distributions yet when I look at their profit picture they seldom show any. Quarterly reports show erratic misses to expected earnings. I like their business and distribution history as well as stated goal of future payouts but they seem to have an unpredictable annual profit. Could you comment on my reservations as your report currently gives then an A. Thanks.
Read Answer Asked by Terry on November 30, 2016
Q: Hi 5i
In my rrsp account I have 4 mutual funds
Rbc u.s. - rbf557 (11%)
Pimco cl adv - pmo006 (21%)
Ci bond - cig 837 (10%)
Sig hgh - cig686 (57%)
I haven't been very happy with the returns and looking at some adjustments
What do you think of selling 2/3 of sig686 and adding some to Rbc u.s.
And adding edg 3801 mutual fund,
Selling the bond portion and looking to your thoughts some suggestions for a replacement
Thank for the help
Sam










Read Answer Asked by Sam on November 30, 2016