Q: Thanks to your wise input I just want to say thanks for helping me make 40+% in one month on this position as of today.
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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: As between the two Canadian Dividend Equity ETFs - XDV and ZDV - which one would be your choice? Or would it make sense to have exposure to both?
Q: Manulife Monthly High Income Fund Series F
As far as mutual funds go, how would you rate the Manulife Monthly High Income Fund Series F? The MER seems reasonable at 1.07. I'm trying to identify a good income fund for my mother. Any others you would recommend over this one?
Thank You
As far as mutual funds go, how would you rate the Manulife Monthly High Income Fund Series F? The MER seems reasonable at 1.07. I'm trying to identify a good income fund for my mother. Any others you would recommend over this one?
Thank You
Q: Hey there,
I am currently holding about 25% of my portfolio in cash. The market still offers some significant risk IMO and I'm not comfortable being fully invested. That being said, what are your suggestions for holding cash and still making a little something. Are their any options other than GIC's? Any help would be appreciated.
I am currently holding about 25% of my portfolio in cash. The market still offers some significant risk IMO and I'm not comfortable being fully invested. That being said, what are your suggestions for holding cash and still making a little something. Are their any options other than GIC's? Any help would be appreciated.
Q: Hello 5i:
can you advise on the ETF HQH? I'd like more US exposure, in US dollars and would see this as a very small part of the portfolio. I'm attracted by the yield, and by the fact that Biotech in general has been pretty beaten up; meaning little downside with good upside. I'm thinking of holding in a TFSA, if an investment is made.
thanks
Paul L
can you advise on the ETF HQH? I'd like more US exposure, in US dollars and would see this as a very small part of the portfolio. I'm attracted by the yield, and by the fact that Biotech in general has been pretty beaten up; meaning little downside with good upside. I'm thinking of holding in a TFSA, if an investment is made.
thanks
Paul L
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Ag Growth International Inc. (AFN)
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Applied Graphite Technologies Corporatio (AGT)
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Nutrien Ltd. (NTR)
Q: Gentlemen
What would you recommend for exposure to the Ag sector?
thanks
Gaston
What would you recommend for exposure to the Ag sector?
thanks
Gaston
Q: What is your opinion on CQQQ hold or buy.Thank you
Q: Hi,
Borrowing to invest, Maybe this article will be of interest to some investors, Thx
https://www.theglobeandmail.com/investing/personal-finance/taxes/article-recent-court-ruling-offers-tax-guidance-on-borrowing-to-invest/
Borrowing to invest, Maybe this article will be of interest to some investors, Thx
https://www.theglobeandmail.com/investing/personal-finance/taxes/article-recent-court-ruling-offers-tax-guidance-on-borrowing-to-invest/
Q: Hi Peter & Team
what can you tell me about ROE Renaissance Oil Corp and would you allocate a small amount to this speculative stock?
Thanks Ron
what can you tell me about ROE Renaissance Oil Corp and would you allocate a small amount to this speculative stock?
Thanks Ron
Q: If you were to pick a bond ETF today which one would you pick and why.
Thanks for the info. Brian
Thanks for the info. Brian
Q: What is your asesment of Reitman's? Is it worth inveting in? Seems like lots of headwinds. Retail competition, on-line competition and demographic changes.
Thanks.
Thanks.
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Pure Industrial Real Estate Trust (AAR.UN)
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WPT Industrial Real Estate Investment Trust (WIR.U)
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Dream Industrial Real Estate Investment Trust (DIR.UN)
Q: I am retired living on dividend income. I currently hold equal positions in AAR.UN and WIR.U. Now that the AAR.UN acquisition is priced in and only yielding 3.87%, I am considering selling AAR.UN and adding to my WIR.U position, which yields 5.91%.
Is there any reason to continue holding AAR.UN?
Is selling AAR.UN and adding to WIR.U a good strategy? Or would you recommend another industrial REIT stock?
Is there any reason to continue holding AAR.UN?
Is selling AAR.UN and adding to WIR.U a good strategy? Or would you recommend another industrial REIT stock?
Q: Hello Peter/Ryan,
I listed many names on the list in one question in order for other members benefiting from your advises as well. Feel free to deduct as many credits if it needs to be.
4-part questions:
1) Market rotation: Many solid consumer staples and industrial stocks went down significantly, what do you think of their directions in the next two years (I will get pay to wait if buy now) and what causing this downturn?
2) I list them in pair for long term hold over 5 years (pleas suggest a name that you like better)
FLR (Fluor-US) Industrials versus VEOEY/VEOEF (Veolia Env. ADR French) Environment-Water Treatment
DANONE ADR (French) versus Saputo
MDLZ (Mondelez -US) versus HSY (Hershey-US)/NSRGY (Nestle-CH Swiss co.)
KHC (Kraft Heinz-US) versus UL (unilever- UK)
PEP (Pepsi) versus KO (Coca cola)
3) Large international companies listed on US-OTC (over the counter) market instead of NYSE or NASDAQ to lower the listing cost and regulatory complexity of a stock exchange listing.
What to choose and ADR stock ticker ending with a Y (sponsored by a US Bank) or with a F (unsponsored) ? Why such a large price difference between them? In case of unsponsored ADR, how safe will it be time to sell the stock and time to get for the dividend declared.
In this case 52 weeks Low-High Veolia -VEOEY= 20.22 to 26.40 versus VEOEF = 19.50 to 26 (almost same dividend 1.03 versus 1.04)
4) Tax withholding:
Inside RRSP: none on US-UK co. shares and mostly 15% on European co. shares (anyway to get this back?)
Inside: TFSA: 15% in most cases (anyway to get this back)
Outside in investment account.
Thank you!
I listed many names on the list in one question in order for other members benefiting from your advises as well. Feel free to deduct as many credits if it needs to be.
4-part questions:
1) Market rotation: Many solid consumer staples and industrial stocks went down significantly, what do you think of their directions in the next two years (I will get pay to wait if buy now) and what causing this downturn?
2) I list them in pair for long term hold over 5 years (pleas suggest a name that you like better)
FLR (Fluor-US) Industrials versus VEOEY/VEOEF (Veolia Env. ADR French) Environment-Water Treatment
DANONE ADR (French) versus Saputo
MDLZ (Mondelez -US) versus HSY (Hershey-US)/NSRGY (Nestle-CH Swiss co.)
KHC (Kraft Heinz-US) versus UL (unilever- UK)
PEP (Pepsi) versus KO (Coca cola)
3) Large international companies listed on US-OTC (over the counter) market instead of NYSE or NASDAQ to lower the listing cost and regulatory complexity of a stock exchange listing.
What to choose and ADR stock ticker ending with a Y (sponsored by a US Bank) or with a F (unsponsored) ? Why such a large price difference between them? In case of unsponsored ADR, how safe will it be time to sell the stock and time to get for the dividend declared.
In this case 52 weeks Low-High Veolia -VEOEY= 20.22 to 26.40 versus VEOEF = 19.50 to 26 (almost same dividend 1.03 versus 1.04)
4) Tax withholding:
Inside RRSP: none on US-UK co. shares and mostly 15% on European co. shares (anyway to get this back?)
Inside: TFSA: 15% in most cases (anyway to get this back)
Outside in investment account.
Thank you!
Q: Hello 5i team,
I have 40 holdings in my portfolio and I'm attempting to classify them between BE, Growth and Income; to that end:
1) BNS is in both BE and Income; should I presume the same for TD and SLF?
2) ENB is in both BE and Income; should I presume the same for KEY?
3) BEP.UN is in Income; should I presume the same for BIP.UN and AQN?
4) WSP is in both BE and Income; but since STN has a lower yield, I would classify it in BE
5) Where would you classify CIGI, CNR, DSG, ENGH, FSV, GIB.A and TCN?
Feel free to deduct any number of question credits; and thanks a million
Antoine
I have 40 holdings in my portfolio and I'm attempting to classify them between BE, Growth and Income; to that end:
1) BNS is in both BE and Income; should I presume the same for TD and SLF?
2) ENB is in both BE and Income; should I presume the same for KEY?
3) BEP.UN is in Income; should I presume the same for BIP.UN and AQN?
4) WSP is in both BE and Income; but since STN has a lower yield, I would classify it in BE
5) Where would you classify CIGI, CNR, DSG, ENGH, FSV, GIB.A and TCN?
Feel free to deduct any number of question credits; and thanks a million
Antoine
Q: Hi, Any comments on CCL earnings release, please ? Does any specific comment stand out, like CCL Secure results, this quarter, boosted by a customer's large launch order, not likely to repeat? How do like the guidance for 2018 ? Thanks
Q: What do you think of ipl's quarterly report.
Q: Hi Peter, I am just wondering what the difference is between accounts payable vs. accounts receivable? Do they play a big role when you evaluate a company? What are the key things to look out (to exceed or not to exceed others) for each? Thanks!
Q: I have a thesis for SHOP and wondering if I am way off base. It is currently 5% of my portfolio. SHOP just grew revenues 68% but had a “slow down” in number of merchants added. Could part of the explaination be that SHOP is now aquiring clients with bigger and potentially more mainstream business. LCBO and marijuana comes to mind. Also revenues are growing from long term clients and despite analysts questioning the competitive advantage I do believe they have one. My wife has been a client of SHOP since near their beginning. She continues to pay more each month but says she would never change as they keep adding things that improve her sales and any change would be too time and labor intensive.
I am considering recommending that my daughter start a position in SHOP even at these levels. Or alternatively if I am way off base maybe it is time to trim our position. Thanks for your incredible service.
I am considering recommending that my daughter start a position in SHOP even at these levels. Or alternatively if I am way off base maybe it is time to trim our position. Thanks for your incredible service.
Q: Can you differentiate between RHT and PHM? They both appear to be in the same type of sector, however, PHM seems to be dead money now. Can you please identify why RHT is a better company between the two?
Q: Hello,
Could you please give me your current opinion on EDR?
Thanks
Could you please give me your current opinion on EDR?
Thanks