Q: Having hoped that SYZ would have been part of the "growth" in my portfolio, I now have to make a decision, hang on and wait for something to happen, or move on to other securities that will hopefully produce growth. What are your thoughts?
Q: what can you tell me about tencent holding and why does a massive company like this trade on the otc market in the u.s.
would you buy some, what do they do, i cannot figure it out.maybe bloomberg has more info.dave
Q: I have held DHX for some time and it has gone nowhere. I am becomimg quite disheartened with the stock and considering swapping for TOY. Would appreciate your comments.
Q: Gentlemen; I have been fortunate to have bought a position in Newmarket Gold which is up over 13% today. In reading their latest press release, I find their drilling results are almost too good to believe.
https://www.newmarketgoldinc.com/news/news-releases/newmarket-gold-identifies-additional-near-mine-hig-20160920
Can you comment on the risk / reward? Thank you.
Q: This is a follow up to my September 20th question re Proctor and Gamble's offer re Galleria Company and beauty division spinoff. Can you explain the pro-rate allocation you mentioned. I was expecting $1.075 in Galleria Company stock in exchange for $1 of P & G stock. Is there a possibility of more, considering your comment on the majority of people tendering, due to the 7% discount. When you say "yes" to the offer were you also suggesting one would keep the Galleria stock, or simply flip it and go back into P & G.
Q: Since being removed from 5i's model portfolio MDA has tumbled about 8% on strong volume. I'm not sure if there's a connection here or just coincidence, or some other reason for the decline? I wonder if you agree with TD's analyst consensus of Q3 earnings expected to be flat at $1.51 compared to 2015 and a revenue rise to $542 MM from 515? I exited this position when you did, now looking to re-enter. Thanks, J.
Q: Hi I've done well this year: up almost 17% year to date. Thanks to mostly your BE stocks. I'm thinking maybe I should hedge my portfolio somewhat to protect the gains. What do you think of the us etf HDGE. It doesn't seem to have the difficulties of other bear etfs with their daily decay rate.
Or would you just ride the portfolio through the inevitable cycles of downs and ups?
Q: Do all above companies fall under Industrial? My total weight is 13% Is this too high? I feel that I have too many companies in this sector and may be better to have only 4-5? STN and WSP are similar so would it be better to sell one of these and add to the names that are listed. I am also thinking of selling ET and taking the proceeds to add to the other names now leaving me with 5. Is this a good approach?
Q: Ryan
Thank you for the blog posts regarding dividend payout ratios. It's a tremendous follow-up on my question (including using DIV as an example).
Thanks Cameron
I recall that the yield on "VE" was over 4% several months ago and is now showing as just under 2%. The distributions seem to change quarterly? Hoping you can shed some light on the proper way to understand the yield on this etf.
Your thoughts on Tucows, I hold a 1% position and thinking of selling and moving the money to another tech stock which I currently own, either ESL, OTC or SYZ.
thanks,
Jim