Q: Due to poor performance ECN is now at the head of my chopping block. When does it report for this quarter? Also, do you see any catalyst on the horizon that can move the stock price within the upcoming quarter or next? Thanks.
Q: I know you don't cover US stocks but wanted to get your thoughts on Healthcare Services Group Inc. Given their current fundamentals is the recent decline overdone?Thank you.
Glen
Q: Please suggest 2 companies in Canada and 2 companies in the USA you would buy today. No need to worry about portfolio diversity, or sector weighting. Just your 2 favorites in each country and let's say with a 5 year time frame before I would want to access the funds or switch them to income stocks.
Q: Hi Peter and gang,
Would you please comment on why WDC's shares pulled back so much this past Friday in spite of its earnings beating street expectations.
Cheers,
Q: It seems to me that the 30% drop in Detour Gold is way overdone. Do you agree? DGC has quite a high percentage of shares owned by institutions (>60% I believe). Could this big drop be due to computer programmed selling - sheep following sheep, etc.? I bought a small position in DGC several months ago, thinking it's a high cost producer but has a lot of reserves, so it could be a good leveraged investment if the POG rises significantly. Has anything really changed with this new guidance?
Q: If one believes that the move to a hydrogen economy is inevitable where should they be investing? My sense is that Shell is one of the better plays from a supplier perspective (c/w 5% dividend on the ADR) and maybe Toyota from a transportation perspective. However, neither offers a particularly inspiring 5 year chart. Do you have any better suggestions (possibly Canadian, though I am looking for a relatively secure name rather than a small start-up)?
Thanks for all your help; all responses on your site seem to contain something I find useful.
Q: I am thinking of adding these for income and noticed that none are listed in your Income Portfolio. How would rate these with respect to debt level, safety of dividend, P/E, potential growth, other metrics and management team? This is a long term hold and I can stand a fair bit of volitility.
Thanks for your excellent advice.