Q: What are your thoughts on RSI released earnings, view forward and downgrades? With a 2/3 position should I average down, sell or ride it out?
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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: Just looking for some commentary on last night's earnings release and the subsequent drop in share price. Cheers.
Q: Does this dividend cut they are referring to this morning on bnn effect trp’s dividend???
Q: How was their 1st quarter? thx
Q: For investors living on 4% of portfolio income and growth is there any difference between withdrawing 1/3% monthly or 1% quarterly or 2% semiannually or 4% annually or would the result be the comparable?
If the portfolio is entirely invested in a US index ETF such as SPY or VOO, is it likely to grow over the long run?
If the portfolio is entirely invested in a US index ETF such as SPY or VOO, is it likely to grow over the long run?
Q: I am interested in buying Cummins for a long term (5-10 year) hold, or a comparable industrial in USF. Honeywell is my only other USF industrial. Could you please give me your opinion on purchasing it on the fall, or recommend other industrials, with a at least a small dividend.
Your advise is always appreciated!
Your advise is always appreciated!
Q: Just for my understanding, what is it about SHOP that makes it so appealing? Looking at their financials, their costs have ramped up almost as much as their revenue. Revenue has grown 1600% over 5 years but they still haven't turned a profit. With revenues approaching 1 Billion, in order to achieve a reasonable P/E of say 25 based on today's price, they would need to increase earnings from a loss of 0.53 per share , to a profit of 8.00 (based on FY17), which represents revenue of 743B! I know the math isn't precise, but I think it illustrates my point.
Q: What is your long term view of chorus aviation?
Q: Can I please get your opinion of Westrock (WRK). The stock recently seems to be under some selling pressure.
Thanks
Dave
Thanks
Dave
Q: Do you know what is going on with NOC. I thought they had an OK qtr but the stock has fallen off a cliff ever since. Where do you think it might become a BUY?
Thanks
Ian
Thanks
Ian
Q: Is there any news to account for the drop in LIQ today? Thanks.
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Parex Resources Inc. (PXT)
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Whitecap Resources Inc. (WCP)
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Birchcliff Energy Ltd. (BIR)
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Bonavista Energy Corporation (BNP)
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SDX Energy Plc - Ordinary Shares (SDX)
Q: Maybe - we're really going to see a sustained positive - ongoing movement in the Cdn. oil patch. That said, I'm looking short term (1 yr) for a bite into several undervalued stocks, particularly where leverage is large. Would appreciate your comments on these in order of preference as well as any others. Thank you.
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BMO Floating Rate High Yield ETF (ZFH)
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Global X Active Ultra-Short Term Investment Grade Bond ETF (HFR)
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Mackenzie Floating Rate Income ETF (MFT)
Q: In regards to Floating Rate High Yield ETF products such as ZFH and MFT is there one ETF product in this category that you would consider less risk than the others?
Thanks Ken
Thanks Ken
Q: Hello Team 5i,
Our current weight on DRG.UN has shot up to 7.6%. It's the only holding we have at this elevated weight, so not a huge danger to the whole portfolio. I would prefer to keep my winners but price is quite a bit above 200 day line suggesting pullback to mean and I wonder if I should sell some and take profits? Any words of wisdom from your team greatly appreciated.
Regards
Our current weight on DRG.UN has shot up to 7.6%. It's the only holding we have at this elevated weight, so not a huge danger to the whole portfolio. I would prefer to keep my winners but price is quite a bit above 200 day line suggesting pullback to mean and I wonder if I should sell some and take profits? Any words of wisdom from your team greatly appreciated.
Regards
Q: I initially bought a 1.5% position of COV but with the recent decline and me adding cash to other positions, it's now less than 0.7% of my portfolio...
I know you guys are not big fans of averaging down in bad momentum, but in this situation would you recommend doubling my position if I have some extra cash?
Leave it as it is or just sell since it has become such a small position?
Thank you!
I know you guys are not big fans of averaging down in bad momentum, but in this situation would you recommend doubling my position if I have some extra cash?
Leave it as it is or just sell since it has become such a small position?
Thank you!
Q: Apologies for the dullness of the question.
Can you please list in order of preference your top 5 compelling buys of the BE portfolio? Thx
Karim
Can you please list in order of preference your top 5 compelling buys of the BE portfolio? Thx
Karim
Q: I now have a common stock vacancy in my portfolio from the sale of AVO sitting as cash and I am looking for a substitute for that sock with similar qualities.Suggestions please?
Q: CGNX has lost 30% in value in my cash account. Do you think I should sell it or should I hold it? Why? Thank you.
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Gilead Sciences Inc. (GILD)
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QUALCOMM Incorporated (QCOM)
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Johnson & Johnson (JNJ)
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Verizon Communications Inc. (VZ)
Q: I have 2 questions.
I am looking to buy a few / up to 3 high dividend yielding US stocks for an income portfolio. What could you recommend ?
Looking to hold these US dividend stocks for at least 5 years, does the exchange rate and the premium to buy a US stock matter ? Or is that a long enough time horizon to migitate most of the exchange risk . Thank you
I am looking to buy a few / up to 3 high dividend yielding US stocks for an income portfolio. What could you recommend ?
Looking to hold these US dividend stocks for at least 5 years, does the exchange rate and the premium to buy a US stock matter ? Or is that a long enough time horizon to migitate most of the exchange risk . Thank you
Q: can you please comment on $GSY earnings, Thanks Valter