Q: Boyd Group reported its Q3 this morning. It beat on the top line but missed on the bottom line and also on the earnings per share. The stock was up just under 5% today.
I would appreciate it if you could comment on the results.
Thank you. Ian
Q: I am break even in my holding of STN in my RRSP account. It had a large gain today and reports tomorrow. I am considering selling that position and trading into a stock in the same sector, such as NFI, WSP or MDA, all of which have had recent pullbacks. What would be your recommendation for my RRSP?
Thanks, Peter
Q: Have you come across this name & if so, would you have any insight as to potential? Seems like very innovative technology with revenue stream about to ramp up.
Q: With the market looking at the Trump victory positively.
Is there still a bullish case for gold and metals considering That US $ looks bullish as well.
Q: Hi Peter,
These long bond etf (ZLC, XLB, ZFL) have done very well with YTD total return of 10.48, 10.35 and 8.91 respectively
Why have they done so well?
Is it too late to consider them for RRIF income investment going forward? If so, which one do you recommend, thanks
Q: Hi. I own QST and and am down more than 80%. Where do you see QST in 5 years from now? Would you sell it or add to an existing position at these levels? If so would you add to 1/2 position or full position? Thanks
Q: COULD YOU COMMENT ON THE QUARTER, PAYOUT RATIO, DEBT, DIVIDEND SUSTAINIBILITY, IT'S BUSINESS GOING FORWARD AND WOULD YOU ADD TO A 1/2 POSITION OR WAIT?
Q: I don't own this stock, & know you are not a big fan of this stock, but I read a blog a week ago or so, where the person was highlighting the positive of this company. From what I recall it was stated that there div. was in the range of 40 -45% of cash flow. In there last q report there cash flow increased. Also, the miss was due to a change in progressing charges from a one time up front charge to a unit charge & he claimed this is what caused the miss on earnings. Would you agree with this statement. I question why they wouldn't cancel the div. & thus be able to pay down more than 20 million dollars as reported. Would greatly appreciate your insight.
Q: The Emerging Markets took a bit of a hit today with ZEM being down about 2.5%. Would you consider adding to my position now or should I wait a bit to see how things shake out with the change in the U.S.? Currently ZEM is about 5% of my portfolio
Is the continued sell off in SJ warranted by yesterday's surprise electoral news? Could you please comment on your understanding of how the company's long term prospects may be affected?