Q: Hello 5i, Can you comment on shopify offering of shares. Do you think this dilution of value is going to affect the share price.Or is this for an acquisition? I thought the share price would drop after this offering but it seems pretty strong. Thanks. Shyam
Q: Hello 5i,
I have no REIT's in my portfolio and would like to add one that does not have Western Canada exposure. I have a long-term horizon of 7-10 years and am ok with small-cap risk. But is an 8% dividend yield crazy and unsustainable? Would you recommend one of these two REIT's? THX.
Q: I have no current exposure to oil or gas. Thinking it may be time to acquire some. Is an etf the better way to go or perhaps going with Birchcliff, Seven Generations, Peyto. Which etf if thats your choice and what % of a portfolio should a person consider at this juncture.
I asked a question 3 or 4 days ago, can't tell if the credits have been reduced but I did not get an answer. The question referred to a choice between TXN vs NVDA. I currently own about 18% in technology,CSU,IT,GC,GOOGL but was thinking that perhaps I should sell ULTI in exchange for TXN or NVDA, or whatever recommendation you think is best. Thank You.
Q: I own the 5.5% Aecon 31 Dec 18 convertible debentures. They are trading at about $109, and I bought them in Dec 2014 at about par. Should I take my profit now? If I wait until maturity, I will lose the current premium. I suppose they are trading at a premium because of the embedded warrant value.
Q: I've been to China 5 times in last 24 months and on my recent trip I observed more and more people have smart phones than previous trips. Speaking with one of my Chinese colleagues on this trip, we discussed how most people in China with a smart phone use WeChat as their messaging app. WeChat is not just a messaging app, you can make payments and shop. Travelling thru several cities, most retailers requested payment thru WeChat. I was amazed at the adoption of this app. It is owned by Tencent and trades OTC in the US. Do you know anything about this company and do you have any concerns with buying stock on the OTC?
Q: This is just my opinion, but I think that Avigilon is another example of a case where Quality of management i.e, CEO attitude is the number 1 factor in their situation. I recall watching interviews on BNN where comments were made about how agressive the CEO was and I believe there was, at one time at least, a higher than average turnover in the C-suite and R&D department due to the CEO. I try to emulate the growth portfolio but I could never bring myself to buy AVO because of the impression I had of the management.
Q: Going forward from here what would be your top 3 picks for 1)Growth stocks, 2)Dividend Stocks and 3)Bond ETF's (assuming one doesn't know what individual bonds to buy)?
After the decline of CXR you mentioned some ideas were coming for the growth portfolio - will u be sending out e-mail notifications?
Thanks kindly.
Q: A comment and a question if I may. There's so much talk about markets being at 'all time record highs' as if this is a reason in itself to sell or short. But if markets have consistently gone up over many decades, you could argue that in a historical sense the market is almost always at an all time high.
On to my question: I need to add an oil/energy stock for diversification and I'm on the growthier side of risk tolerance. Do you have a preference between RRX and ENB at this time?