Q: PLEASE SUGGEST A COUPLE OF PASSIVE, EQUAL WAITED SP5000 FUNDS DENOMINATED IN US DOLARS. tHANKS
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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: In terms of positioning, the easiest answer is to just rebalance and trim some areas that have done well over the last few months and add to more defensive areas like fixed income or maybe more value oriented areas.
This is what 5i responded to an earlier question. In your view, what would those « more value oriented « areas be?
Thanks as always
This is what 5i responded to an earlier question. In your view, what would those « more value oriented « areas be?
Thanks as always
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Sea Limited American Depositary Shares each representing one Class A (SE $186.89)
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Kraken Robotics Inc. (PNG $4.22)
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Zedcor Inc. (ZDC $4.31)
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Super Micro Computer Inc. (SMCI $44.90)
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MDA Space Ltd. (MDA $32.30)
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Sportradar Group AG (SRAD $28.93)
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Lumine Group Inc. (LMN $45.50)
Q: Good morning,
Could you please briefly comment on SE's recent results? As well, could you rank the potential buy order of these seven growth stocks today? Thanks,
Brad
Could you please briefly comment on SE's recent results? As well, could you rank the potential buy order of these seven growth stocks today? Thanks,
Brad
Q: Please comment on their earnings and outlook going forward. Please rate as a buy, hold or sell.
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Alphabet Inc. (GOOG $249.85)
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Verizon Communications Inc. (VZ $44.21)
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BCE Inc. (BCE $32.36)
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TELUS Corporation (T $22.13)
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T-Mobile US Inc. (TMUS $239.45)
Q: I hold these 3 stocks for income and have seen capital erosion in recent years with weakness in the telecom sector. In terms of industry concentration, how much overlap is there between the three (Telus has held up best), would you recommend letting one or two of them go, which one(s), and what would you recommend in the general sector as a replacement (US or Cdn)?
In particular, I am curious about BCE's prospects following the US acquisition after selling MLSE stake, dividend cut, debt, and scaling back of capex.
In particular, I am curious about BCE's prospects following the US acquisition after selling MLSE stake, dividend cut, debt, and scaling back of capex.
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iShares Core Canadian Short Term Bond Index ETF (XSB $27.12)
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iShares Core Canadian Universe Bond Index ETF (XBB $28.50)
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iShares Core Canadian Long Term Bond Index ETF (XLB $19.08)
Q: Hello team
with the Fed govt going into more debt , interest rate pending cut by Bank of Canada
what is going to happen to the bond funds in gneral? I do have XBB, XLB all losing some grounds
If indeed there is inflation due to the tariffs hitting the basic goods and little growth, how does it affect the bond funds?
thank you
Michael
with the Fed govt going into more debt , interest rate pending cut by Bank of Canada
what is going to happen to the bond funds in gneral? I do have XBB, XLB all losing some grounds
If indeed there is inflation due to the tariffs hitting the basic goods and little growth, how does it affect the bond funds?
thank you
Michael
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Constellation Software Inc. (CSU $4,281.59)
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Topicus.com Inc. (TOI $161.71)
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Lumine Group Inc. (LMN $45.50)
Q: Most of my investing style is focused on Canadian high quality compounders and the US market using ETFs. I have really tried to drill in my head that drawdowns of 20-30% happen quite frequently to quality compounders for no significant reason other than they can randomly occur. I try my best to ignore them and focus on the long term future. My biggest holdings are CSU, TOI, and LMN. Instead of focusing on the current drawdown, where do you see these companies in a 5-10 year time horizon? Will CSU be able to acquire as many companies? Will it compound as quickly as it has before. Do you feel that TOI and LMN will be that faster growers in the future compared to CSU. What is the possibility of future spin outs for CSU? So far the 2 spin outs have worked well and followed CSU’s acquisition and incentive playbook.
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Public Storage (PSA $284.13)
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Global X Cash Maximizer Corporate Class ETF (HSAV $116.31)
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Global X High Interest Savings ETF (CASH $50.05)
Q: I have $500,000 from sale of house that I need to park until January when I can contribute it back to my TFSA. Given the recent strong markets and the fact we are going I to seasonally weak months I don’t want to be exposed to market risk. Once back in my TFSA I will put the money to work in the markets.
I was thinking of using HSAV as the returns are by way of unit price appreciation which would be taxed more favourably than interest paid out in CASH or PSA. The unit price growth in HSAV is somewhat erratic which is a bit concerning.
Your thoughts or other suggestions.
I was thinking of using HSAV as the returns are by way of unit price appreciation which would be taxed more favourably than interest paid out in CASH or PSA. The unit price growth in HSAV is somewhat erratic which is a bit concerning.
Your thoughts or other suggestions.
Q: Please provide your view on the latest quarterly report and outlook.
Thanks
Thanks
Q: what is the most tax efficient way to hold cash? would it be with a dividend stock (assuming the stock stays at the same price) or in an interest bearing account
Q: Big drops by construction companies BDT and NOA after earnings reports, which didn't look very good. If holding both, would you keep them, or sell one or the other, or both?
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Fortinet Inc. (FTNT $80.29)
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Palo Alto Networks Inc. (PANW $203.12)
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Check Point Software Technologies Ltd. (CHKP $196.54)
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Zscaler Inc. (ZS $279.46)
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CrowdStrike Holdings Inc. (CRWD $445.50)
Q: I have a question about 2514 Greetings:
It has been a long time since a question has been asked about CHKP. I own 500 shares and it has fallen significantly. After reviewing previous questions I would say that your present picks would be PANW and Fortinet. Why is cybersecurity in such a slump? What is the one year outlook for CHKP? Should I switch to PANW?
Thanks,
BEN.
It has been a long time since a question has been asked about CHKP. I own 500 shares and it has fallen significantly. After reviewing previous questions I would say that your present picks would be PANW and Fortinet. Why is cybersecurity in such a slump? What is the one year outlook for CHKP? Should I switch to PANW?
Thanks,
BEN.
Q: Thoughts?
Q: Follow-up on your answer to the question on this ETF: is this a buy and hold strategy or there is a certain way of using it? Please feel free to elaborate and deduct points as appropriate
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Amgen Inc. (AMGN $274.71)
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Costco Wholesale Corporation (COST $963.03)
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Booking Holdings Inc. (BKNG $5,553.70)
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AbbVie Inc. (ABBV $220.81)
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Pfizer Inc. (PFE $24.05)
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Axon Enterprise Inc. (AXON $751.81)
Q: Thoughts on the current overall market and going forward 1-2 years? I just read Howard Marks latest memo and he is cautious at these levels based on over valuation and many other speculative factors that are often discussed here. I have a very growth weighted portfolio and high embedded gains. I am a long term investor but would like to mitigate any large drawdowns when a correction comes to preserve gains. Currently my more defensive holdings are COST, DOL, ATD, IFC. Currently holding no utilities. I also hold large anchor names such as CSU, LMN, BN, BKNG, AXON, and WSP. What are your top defensive names?
If I trim my tech, I assume adding to DOL, ATD, COST, IFC be more defensive. I know you've mentioned these names as other good defensive names as well, COST, PG, ABBV, L, ATD, FTS, H, ENB, FTS, BEPC, H, SLF, RY, TD, GRT.UN, T, L, BAM.
Or would buying some covered call ETF's that offer some good yield reduce the drawdown.
Which are your top covered call ETF's? Or adding to some of these defensive ETF's would be good too? Defensive US etf'S: VDC, VPU, VHT
Thanks!
If I trim my tech, I assume adding to DOL, ATD, COST, IFC be more defensive. I know you've mentioned these names as other good defensive names as well, COST, PG, ABBV, L, ATD, FTS, H, ENB, FTS, BEPC, H, SLF, RY, TD, GRT.UN, T, L, BAM.
Or would buying some covered call ETF's that offer some good yield reduce the drawdown.
Which are your top covered call ETF's? Or adding to some of these defensive ETF's would be good too? Defensive US etf'S: VDC, VPU, VHT
Thanks!
Q: Could you give me your current outlook for this company, considering the latest results and future prospects/ growth opportunities . At one time you considered as strictly an income stock. What is your current view?
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Constellation Software Inc. (CSU $4,281.59)
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Topicus.com Inc. (TOI $161.71)
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Lumine Group Inc. (LMN $45.50)
Q: What do you think about the concept of AI, with the corollaries of ‘vibe-coding’ and lowered barriers to software creation, affecting the above businesses?
I hear an increasing number of guests on CNBC and posts on X predicting the ‘death of SaaS’ because of this.
The above companies all benefit from perceived niche software, and charge fees that reflect this. Is niche software not going to be so hard to penetrate in the future by new, cheaper entrants?
And will this actually have to happen to affect the share prices of the above at some point, but just the expectation of it happening? Thx.
I hear an increasing number of guests on CNBC and posts on X predicting the ‘death of SaaS’ because of this.
The above companies all benefit from perceived niche software, and charge fees that reflect this. Is niche software not going to be so hard to penetrate in the future by new, cheaper entrants?
And will this actually have to happen to affect the share prices of the above at some point, but just the expectation of it happening? Thx.
Q: Wesdome reported recently n the stock was hit pretty hard vs performance of peers today. Their Results didn’t look bad to me. Is it expectations in this sector?
Whilst there looks to be some rotation of money out of the biggest players into mid cap Gold Miners lately Wesdome doesn’t look to be a recipient of that. Any thoughts on this trend n if so do u see opportunity to rotate some Capital outta AEM into any smaller players today n if so your preferences?
Whilst there looks to be some rotation of money out of the biggest players into mid cap Gold Miners lately Wesdome doesn’t look to be a recipient of that. Any thoughts on this trend n if so do u see opportunity to rotate some Capital outta AEM into any smaller players today n if so your preferences?
Q: Question for Peter only.
After going through multiple recessions, depressions and big drops in the market do you or your cohorts have a reasonable guess when the next one may occur and what would cause it?
The day, month & year it might happen?
How big a drop percentage wise?
How long will it last?
Would Ai be able to come up with an answer to this?
Thank you.
After going through multiple recessions, depressions and big drops in the market do you or your cohorts have a reasonable guess when the next one may occur and what would cause it?
The day, month & year it might happen?
How big a drop percentage wise?
How long will it last?
Would Ai be able to come up with an answer to this?
Thank you.
Q: did key recently raise its dividend