Q: Big drop in the stock today but i have seen nothing that would account for this. Have i missed something here. Seems like a pretty big drop for no news. Your thoughts?
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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: Mr Market is very unhappy about COV. Down about 40% from a week ago. Why is he so unhappy with the results/conf call/ whatever?
Sheldon
Sheldon
Q: Comments please on the second day of sizeable losses for COV. Hoping to avoid a similar experience I had with a prolonged downward trajectory with CRH. What are your suggestions?
Thank you
Thank you
Q: in your opinion is this sell off in covalon overdone or is it justified.dave
Q: Hi Peter any preference between this two co. Are dividends safe.?thanks. Alnoor
Q: What do you think of the drilling results announced today?
It was one of your tips last fall as a tax loss selling watch list stock.
Is it a buy today?
Thanks Peter
It was one of your tips last fall as a tax loss selling watch list stock.
Is it a buy today?
Thanks Peter
Q: Please comment on the impact of Amazon's latest ambition : to be a major hospital supplier on Savaria corp. Savaria stock price has dropped this morning.
Thanks
Thanks
Q: Can I have your view on the recent purchase of Jarislowsky Fraser Ltd by BNS. It doesn't seem to have affected the BNS stock price very much so wandering if this is going to be a good deal or not? Thanks.
Q: could you please give me an update on the conference call with covalon, both the positive and negative.
thanks dave
thanks dave
Q: What is the date of AVO takeover ?
JJ
JJ
Q: TNP, much like VLE is involved with developing natural gas company interests in developed and undeveloped properties in Turkey and Bulgaria. It has shown strong momentum since late November. In mid-January they announced a plan "to market the Company so that it can pursue a stronger capital structure for future development" and enhance shareowner value.
May I have your opinion on its worthiness as a higher risk investment? Thank you
May I have your opinion on its worthiness as a higher risk investment? Thank you
Q: Tony Seba's video paints a picture of massive disruption coming by 2020ish. His thesis is that the convergence of electric and autonomous vehicles, solar efficiency, etc. will disrupt many industries and especially transportation and energy business models.
Have you seen any of these types of projections? It’s a bit of a longer video but you might take a peek at it particularly near the end where he connects the dots.
If true, we had best be getting out of pipelines and rethinking renewable energy, let alone the many other industries that this may impact. For example, if people reduce significantly their purchase of vehicles and simply allow autonomous vehicles to drive us around, we won’t need nearly as many parking lots, and this will free up land for housing in urban areas.
Is this guy credible? Any thoughts?
Best regards ... Kirk
https://youtu.be/2b3ttqYDwF0
Have you seen any of these types of projections? It’s a bit of a longer video but you might take a peek at it particularly near the end where he connects the dots.
If true, we had best be getting out of pipelines and rethinking renewable energy, let alone the many other industries that this may impact. For example, if people reduce significantly their purchase of vehicles and simply allow autonomous vehicles to drive us around, we won’t need nearly as many parking lots, and this will free up land for housing in urban areas.
Is this guy credible? Any thoughts?
Best regards ... Kirk
https://youtu.be/2b3ttqYDwF0
Q: Ticker OSS.V, please give your assessment of this company.
Q: 5i:if you look at previous question I really only wanted your opinion on zlfbmo long federal bond etf as a good fit or what other options do you feel more suitable.as part of a fixed income allocation. ?
Q: I am looking to add to HPR because its holdings are predominantly in floating rate or fixed-to-floating rate preferred but am having trouble understanding how sensitive the overall holdings are to rising interest rates. HPR has reacted positively to rising rates over the past six months but negatively over the past few weeks so its hard to judge how it will react to further interest rate increases. Part of the problem is that most of the holdings are fixed-to-floating rate and the period of time before those holdings convert to floating rate. Do you have any thoughts or further information on this?
Q: This stock had an upgrade today.Do you have any thoughts on this small cap.Thanks
Q: Looking at TAP. Since your last comment, valuation improved. But looking at long term chart, BUD shows better stock price return and higher current yield.
Which would you choose now, and how strong would be the case to buy that kind of stock in your portfolio in this valuation reset of the markets?
Thanks for your help
Which would you choose now, and how strong would be the case to buy that kind of stock in your portfolio in this valuation reset of the markets?
Thanks for your help
Q: I am 60 years old and recently retired, have a company pension and am drawing my CPP early.
I have usually used individual Bonds for my fixed income portion (8%) of my RRSP.
My advisor suggested I should use these 2 Mutual Funds instead: LYZ801A & MMF559.
Do you have an opinion on these funds and are they a suitable replacement for individual Bonds?
Only joined your group recently but am learning a lot - THANKS.
I have usually used individual Bonds for my fixed income portion (8%) of my RRSP.
My advisor suggested I should use these 2 Mutual Funds instead: LYZ801A & MMF559.
Do you have an opinion on these funds and are they a suitable replacement for individual Bonds?
Only joined your group recently but am learning a lot - THANKS.
Q: Hi,
Presently I have no fixed income position, just cash. (70% of portfolio is in equities). This is mostly due to lethargy. I was thinking of allocating equal weights of the following: XHY, CPD, ZAG, CBO and PIMCO Monthly Income, what are your thoughts? Also, how should I approach entering a rising interest rate environment? Now?, Wait?
Thanks for all you great advice.
Presently I have no fixed income position, just cash. (70% of portfolio is in equities). This is mostly due to lethargy. I was thinking of allocating equal weights of the following: XHY, CPD, ZAG, CBO and PIMCO Monthly Income, what are your thoughts? Also, how should I approach entering a rising interest rate environment? Now?, Wait?
Thanks for all you great advice.
Q: Thoughts for a 3-5 year hold? Is it more "defensive" than the overall sector bc of the types of drugs they make?