Q: I own AQN and Chemtrade. I have owned the latter for several years and reinvest the dividends: I am considering adding more of one of these two. Do you prefer AQN? Is one riskier than other? Thank you. Bill
Q: Hi 5i Team Please rank these stocks in order of preference would like information on which has the most growth potential in terms of share appreciation. CSU MG AVO COV GC OTEX Thanks Claude
Q: I am currently sitting on some gains with TCN. Should I switch to WSP? Does WSPs run still have legs? Is there another yield play you might suggest that has room to grow?
Q: Wpk in the Summary port.If I rememder correctly,it wae removed from one of the 3 portfolios;if so,why?Recently You preferred CCL.B over WPK.Is this still the case?.Is this a good entry point for WPK after a decent decline?Thanks for u normal great services & views.
Q: Hello Peter!
I have in my US$ portfolio 6 stocks FB,SHOP,CGNX,AMZN,NVDA,SQ, .
I want to add another 2 or 3 US stocks pretty much good one like those mentioned above. Please provide me with some good ideas. (I was thinking about ADBE & QLD.
Q: Hi 5i Team! Considering the high value of NVIDIA at this time, would you still consider it Ok to start a long term position in it now? Thanks, Tamara
Q: What are your thoughts here? Backlog has been promising from time to time but not sure it translates efficiently to the bottom line and chart has been range bound for a while. Thanks!
Q: I own a small amount of GXO in my modest energy holdings. Just wondering why it's dropped so much over the past week or so when other energy stocks are rising on higher oil prices? Thanks.
Q: In this document, dated Jan 8, Beacon gives a target price for PHM of $0.35.
https://beaconsecurities.ca/wordpress/wp-content/uploads/downloads/2018/01/PHM-2018-01-08.pdf
Do I go with optimism or a grain of salt? (Or optimism with a grain of salt?)
Q: In early December I sold half of a position in GUD for tax loss purposes. To put the money to use I purchased a half position in PHO as a "temporary" replacement.
The plan was to then sell PHO and repurchase GUD after 30 days.
PHO has done reasonably well since then. GUD has also increased.
Based on a long term time frame and no sector impacts would you stick with the original plan and repurchase GUD to a full position or would you remain with a half position in each GUD and PHO?