Q: I am trying to clean up my husband's portfolio but am missing some ACB data. Specifically, when I checked his 2000 investment statement, he had Janus Global Equity Fund, but now he doesn't have this holding. However, he has a Mackenzie fund (MFC1055) that he didn't remember buying. I am thinking there was a fund merger at some point. Where can I find information about historical fund mergers?
Q: Any guess on hypothetical FTC settlement if SHOP were to face similar claims as Herbalife did with $200M US settlement. Any guess on what impact may have on shares based on relative revenue, and market cap of each? Recently sold SHOP from 4% down to 2% for 3rd time I think, and hate sticking around with shorts, but still more than a double if goes down to Citron's $60US target. Would you sell off 2% or stick around.
Q: Why did this company go up 60% on Tuesday? The news regarding the fcc approval was released monday morning and the stock was fairly stable.
Does the fcc approval mean their product works? Is there any competition or simialar product out there? Do you know if the product would be too expensive for mass install?
Would you buy NVO at these levels or would you wait for it to settle. I have been trying to be cautious a bit but the stock keeps going up and up. What do you think of the story and Mr. Hennigh's theory? How much the involvement of Eric Sprott and Newmont and Kirkland mean here? Are they speculating too or are they interested in developing a mine? Has the easy money been made already or do you expect to momentum to continue?
Thanks as always!
Q: Hi, Watching today's drop/consolidation, triggered by all the reasons mentioned in your response. Is it prudent and time to trim my 6.5% holding ? Thanks
Q: I'm reading that Citron put a $60 PT on SHOP and is comparing it to the likes of Herbalife. Any validity to these claims that you are aware of or is this just Citron shorting the stock before the report to gain a quick buck? Seems kind of ridiculous!
Q: I noticed this month that with the exchange of ENGH for CG that it changed the tech sector allocation from 19% to 16% was this done to facilitate a sector rotation that seems to be underway or simply a function of one company with better prospects over another. I tend to complete the Balanced Portfolio and also have a number of your Income Portfolio stocks in my portfolio and was wondering if I should move my portfolio to that percentage in tech..as usual thank you for your great service...Eugene
Q: Hi,
Just curious. Prometic float display a number of shares of 683 781 000 which means that any 1 dollar tick will increase the value of the company by $ 683 781 000.
I show assets of 62M and liabilities of 121M
I show revenues of 4M.
I know that you will answer discounted cash flow and phase 3 trials. but in this new world of ...." I don't care about valuations type of thinking" would it make sense to really ask how high the stock value will go.
CDJ
Q: Hello Team,
Regarding the suspension of trading yesterday in XAU and following press release of the 'BoughtDeal' at C$ 4.30 raising 30 millionC$.What does this imply for the stock since it has been trading considerably higher with higher volumes in recent days?
Q: Can you please list a handful of ETFs with >50% exposure to India. Can you please give me your take on the prospects for these ETFs (and India) over the next 5-10 years. Is hedging against currency important to consider?