Q: The tobacco sector is down again, with these stocks at or near 52-week lows. Could you provide your current views about investing in these stocks 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: I understand that Parex is in the middle of a strategic review, I just don't understand (a) why a sale of the company makes sense, and (b) why the stock price continues to fade. Doesn't Parex have one of the better business cases out there? Cash, Brent pricing, new wells - what's not to like?
Some months ago, on BNN, Dennis de Silva suggested that their assets are entering a declining phase - which would certainly make a prospective buyer think twice. But aren't most (all?) O&G companies constrained by the wasting-assets problem? Yet we continue to invest in them.
Some months ago, on BNN, Dennis de Silva suggested that their assets are entering a declining phase - which would certainly make a prospective buyer think twice. But aren't most (all?) O&G companies constrained by the wasting-assets problem? Yet we continue to invest in them.
Q: I have owned Dorel Class B shares for a few years and it has gone down quite a bit. It currently trades in the range of $18.50 which is a far cry from the trading range of the low $30's in 2016 and 2017. Do you know why the price has sunk so low lately? Would you sell this stock now or wait for the price to recover?
Q: Apart from P/E ratios, is there a key valuation metric for a sector that would help one to select one stock over another in that sector?
There are many valuation metrics - P/BV, FCF, FFO, EV/EBITA, for example. Some are more suited to one sector versus another. Could you advise which valuation metric(s) you rely upon for each sector.
Thx
Sam
There are many valuation metrics - P/BV, FCF, FFO, EV/EBITA, for example. Some are more suited to one sector versus another. Could you advise which valuation metric(s) you rely upon for each sector.
Thx
Sam
Q: Hello, HTB was suggested as a top pick on BNN recently. I had never considered such a long term bond fund, however I am not that smart...comments please
Q: Would their 2025 bond be acceptable for inclusion in a well diversified bond portfolio? Total exposure to ATD within the investment portfolio would remain well below 5%.
Q: What are your thoughts on buying POW at this time. It is near the 52week low and is trading at below cost with a 5.67% yield. We are interested in the income and some growth. Do you have any concerns on the future of this company? Many thanks, Len
Q: Hello Team
Could you please give me you opinion on DC.PR.E should I keep holding or sell, it represents about 3% in my overall portfolio. And if I should sell, it seems to be thinly traded how do I get rid of it with out having to sell 50 or a 100 shares at a time. I am down about 35% on this security.
Could you please give me you opinion on DC.PR.E should I keep holding or sell, it represents about 3% in my overall portfolio. And if I should sell, it seems to be thinly traded how do I get rid of it with out having to sell 50 or a 100 shares at a time. I am down about 35% on this security.
Q: Morning guys:
In regards to tax loss selling, I sold some holdings which I was down significantly such as new flyer, dollarama, crh medical. I took the remaining cash and added more shares to pbh, savaria, and ccl which are on sale. Is this a good strategy ?
Thanks
Mark.
In regards to tax loss selling, I sold some holdings which I was down significantly such as new flyer, dollarama, crh medical. I took the remaining cash and added more shares to pbh, savaria, and ccl which are on sale. Is this a good strategy ?
Thanks
Mark.
Q: I have not done very well with HNL recently. A few days ago it announced some new contracts or extensions. What is the impact of this news on future earnings? Will HNL profit from BC LNG projects? Is it a sell or a hold? Thank you.
Q: Hi Team
Came across this etf on BNN. any thoughts? Would it have a place in a portfolio for this kind of volatile market? Thank-you in advance. Sam
Came across this etf on BNN. any thoughts? Would it have a place in a portfolio for this kind of volatile market? Thank-you in advance. Sam
Q: VNOM has gone down quite a bit in the last couple of months. I am up on the stock nicely - do you think it's a time to take profits? Where do you see it going in 2019?
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BMO S&P 500 Index ETF (ZSP $96.41)
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Vanguard U.S. Dividend Appreciation Index ETF (VGG $97.13)
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Vanguard U.S. Total Market Index ETF (VUN $117.27)
Q: Good afternoon, looking to hold a 20% allocation of the American market through ETFs (CAD dollar preferred). Currently hold VUN, and I am looking to add another ETF to complement it - was thinking ZSP or VGG. Any opinions on either of these or any others? Thanks
Q: Using numbers from TD Waterhouse as an example:
GS EPS (TTM) is 1.27 and 2018 EPS expectation consensus (Mean) is 1.09.
SLF EPS (TTM) is 3.52 and 2018 EPS expectation consensus (Mean) is 4.84.
What is the explanation if the TTM is above or below 2018 EPS expectations towards end of reporting year? Will the TTM revert towards the mean consensus? Can I interpret anything from the positive or negative variances?
GS EPS (TTM) is 1.27 and 2018 EPS expectation consensus (Mean) is 1.09.
SLF EPS (TTM) is 3.52 and 2018 EPS expectation consensus (Mean) is 4.84.
What is the explanation if the TTM is above or below 2018 EPS expectations towards end of reporting year? Will the TTM revert towards the mean consensus? Can I interpret anything from the positive or negative variances?
Q: What do you think are the chances of management's intention to purchase at $18 coming to pass (or at least being maintained)? Does the market not believe its going to happen? Due to general market sentiment or some specific company or management comments?
Q: can I contribute stock in kind as opposed to cash into a TFSA as either a new contribution or in replacing cash previously taken out.
Q: MRE got hammered today as a result of the GM news.I just saw the CFO on BNN and he says that the Oshawa plant is a tiny fraction of their business,in the 1% range.Any thoughts?
Q: What Canadian company would benefit the most from E-Sports?
Q: ..how do you view Antibe's latest results? thanks.
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Teck Resources Limited Class B Subordinate Voting Shares (TECK.B $44.44)
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Whitecap Resources Inc. (WCP $10.07)
Q: Hi Guys,
I sold WCP for the tax loss in October. Since then it has declined from $8 to $5. Any suggestions as to when to buy back, or would you suggest any other replacement, say VET?
Still hanging on to Teck at a big decline. Was concerned that they would bring on a partner for their copper mine in Peru. Any point in waiting longer or will a deal not be of any impact?
Thanks,
KC
I sold WCP for the tax loss in October. Since then it has declined from $8 to $5. Any suggestions as to when to buy back, or would you suggest any other replacement, say VET?
Still hanging on to Teck at a big decline. Was concerned that they would bring on a partner for their copper mine in Peru. Any point in waiting longer or will a deal not be of any impact?
Thanks,
KC