Q: So, in comes the new Liberal budget. Lots of spending and increased deficits. Also, a huge emphasis on renewables. Where does this leave the oil and gas industry in Canada? Is this budget going to damage the industry or does the money it brings in to the federal government make it an essential contributor to the funds needed to pay for all the new spending outlined by the government. What will happen to Canadian energy companies as a result of this budget?
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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 have reviewed the Income statement and Balance and FFO. This company, from what I can see, is poised for some serious cash flow and profit moving forward. What is your take on it keeping in mind that there seems to be a push in exploration given the Electrification of Industry? Currently drills are in short supply and it appears that this trend will continue giving rise to higher margins etc. Would you buy in at this time?
Q: On Feb 16th when comparing PPL to ENB you commented that the consensus was that PPL would see a significant drop in earnings this year. Why would earnings be reduced? Higher interest rates, or are there other issues??
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Vanguard FTSE Developed All Cap Ex U.S. Index ETF (VDU)
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Vanguard FTSE Developed All Cap Ex U.S. Index ETF (CAD-hedged) (VEF)
Q: I hold these ETFs in both TFSA and RIFF accounts. Every month activity shows dividend in and out with 0$ net result . Tried to get an explanation from the discount broker but no help. Can you illuminate for me why the activity is shown that way?
Many thanks
Many thanks
Q: Hi Team,
Evidently the Q4 wasn't spectacular...I do have a few questions in particular:
1. The 2023 guidance for EBITDA and EPS has quite a range, to me this almost looks like saying 'we have no idea' what do you make of this?
2. Just below the guidance in the press release there is talk of 'Actual Profits' vs the prior 'Assumed Profits', what is this and is this a good/bad/no effect change?
3. Your overall thought on the results and if you see this decline as an opportunity?
Thanks
Evidently the Q4 wasn't spectacular...I do have a few questions in particular:
1. The 2023 guidance for EBITDA and EPS has quite a range, to me this almost looks like saying 'we have no idea' what do you make of this?
2. Just below the guidance in the press release there is talk of 'Actual Profits' vs the prior 'Assumed Profits', what is this and is this a good/bad/no effect change?
3. Your overall thought on the results and if you see this decline as an opportunity?
Thanks
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NovaGold Resources Inc. (NG)
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Yamana Gold Inc. (YRI)
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First Majestic Silver Corp. (FR)
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Torex Gold Resources Inc. (TXG)
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Pan American Silver Corp. (PAAS)
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Capstone Copper Corp. (CS)
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Osisko Mining Inc. (OSK)
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Equinox Gold Corp. (EQX)
Q: Which small and mid-cap miners in the gold and silver space are poised for impressive production growth in the near term?
Q: They announced that their GEN 3 Purevap Pilot Plant is up and operating. Do you see this being a money maker for them. What is your overall opinion of this company. What are the next 2 years looking like.
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Purpose US Cash Fund (PSU.U)
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Global X USD Cash Maximizer Corporate Class ETF (HSUV.U)
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US High Interest Savings Account Fund (HISU.U)
Q: Hello everyone,
I have U.S. cash on the sideline and would like to "park" it short term (3/6 mths), can you suggest where to place 20th$ ?
I need to keep funds in U.S. dollars.
Thanks and all the best !
I have U.S. cash on the sideline and would like to "park" it short term (3/6 mths), can you suggest where to place 20th$ ?
I need to keep funds in U.S. dollars.
Thanks and all the best !
Q: I am holding SDE (thanks for that one) and from what I can gather you recommend to continue to hold as a bet on management. Can you please provide what the key metrics will be after the sale. What are the assets, production, cash flow, P/E ect. and how much value do you put on the Logan warrants?
Q: I hold YRI in my TFSA a/c and it has done well. It is now to be acquired by major Gold co. offering some cash and fractions of shares. I find it a problem to carry a few shares here and there. I am thinking of selling YRI and buying B2B to maintain my position in gold. Please advise if there are junior gold co. better than B2B.
Q: Good morning Peter, Ryan, and Team,
In our combined accounts, Portfolio Analytics indicates that the Technology sector is overweight by 4.53%.
To reduce the overweight position to 2.76%, ENGH could be sold at a reasonable profit, given the length of time it’s been held.
Our other holdings in this sector are CSU, KXS, TOI, and LMN. (If we also sold LMN, our new overweight position would drop to 2.62%) Would you endorse selling only ENGH or both ENGH and LMN to free up some $ for under-represented sectors?
Thanks as always for your thoughts.
In our combined accounts, Portfolio Analytics indicates that the Technology sector is overweight by 4.53%.
To reduce the overweight position to 2.76%, ENGH could be sold at a reasonable profit, given the length of time it’s been held.
Our other holdings in this sector are CSU, KXS, TOI, and LMN. (If we also sold LMN, our new overweight position would drop to 2.62%) Would you endorse selling only ENGH or both ENGH and LMN to free up some $ for under-represented sectors?
Thanks as always for your thoughts.
Q: acquisition of the Biodex - -Do you feel this is a positive step. I feel in the past, you had high regards of management. Do you feel this stock is under priced. Would you give it a buying rate.
Also, on the 2 previous questions, how would you rate them.
Also, on the 2 previous questions, how would you rate them.
Q: hi, AQN is ex-dividend today. does this mean I can sell today ( assuming all dividend hunters have not driven the price down by selling today too) and get the next dividend April 14, 2023? cheers, Chris
Q: Has the new federal budget changed the dividend tax credit?
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Royal Bank of Canada (RY)
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Toronto-Dominion Bank (The) (TD)
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Bank of Nova Scotia (The) (BNS)
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Bank of Montreal (BMO)
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Canadian Imperial Bank Of Commerce (CM)
Q: Hi 5i, my question is on all financials impacted new taxes.
"Dividend tax change: Ottawa is planning to raise billions of dollars from banks and insurers through a change in tax rules on dividends that financial institutions receive from Canadian companies."
Can you put a guess on how this will impact investors?
Thx
"Dividend tax change: Ottawa is planning to raise billions of dollars from banks and insurers through a change in tax rules on dividends that financial institutions receive from Canadian companies."
Can you put a guess on how this will impact investors?
Thx
Q: Both of these issues have share prices which have taken severe hits recently and at least superficially appear to reflect the worst outcome from known difficulties. The question I would like you to address is; in your opinion and in the absence of new circumstances does the current valuation of each equity fully account for/ discount all the known issues each company faces? i.e. Do the present prices represent a reasonably reliable floor.
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Adobe Inc. (ADBE)
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Autodesk Inc. (ADSK)
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Alphabet Inc. (GOOG)
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Illumina Inc. (ILMN)
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Intuit Inc. (INTU)
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Booking Holdings Inc. (BKNG)
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PayPal Holdings Inc. (PYPL)
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United Rentals Inc. (URI)
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Block Inc. Class A (SQ)
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Etsy Inc. (ETSY)
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Axon Enterprise Inc. (AXON)
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Pinterest Inc. Class A (PINS)
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CrowdStrike Holdings Inc. (CRWD)
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Unity Software Inc. (U)
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Lantheus Holdings Inc. (LNTH)
Q: Hi 5i Team,
I’m down on all the above stocks as follows CRWD Down 36%, ETSY down 40%, PINS down 52%, PYPL down 64%, SQ down 72% and U down 77%.
With a 2 to 3 year horizon which of these are worth holding and which once I should sell and can you suggest US replacements and not necessarily in the same asset class. Just good stable companies that have good growth potential to outperform the indexes.
Take as many credits as you feel necessary.
Thanks
Joe
I’m down on all the above stocks as follows CRWD Down 36%, ETSY down 40%, PINS down 52%, PYPL down 64%, SQ down 72% and U down 77%.
With a 2 to 3 year horizon which of these are worth holding and which once I should sell and can you suggest US replacements and not necessarily in the same asset class. Just good stable companies that have good growth potential to outperform the indexes.
Take as many credits as you feel necessary.
Thanks
Joe
Q: If a person had a modest amount to invest in their new RSP, say ~$8K, and a long time horizon, what would you suggest? Medium risk with DRIP if possible.
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Granite Real Estate Investment Trust (GRT.UN)
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Killam Apartment Real Estate Investment Trust (KMP.UN)
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Dream Industrial Real Estate Investment Trust (DIR.UN)
Q: I currently own both GRT.UN and KMP.UN. Would you be comfortable keeping both or would you recommend switching one or both for DIR.UN?
You guys are the best! Thanks
You guys are the best! Thanks
Q: Would you recommend purchasing Crowdstrike Holdings (cyber security) at current levels ($129.00/$132.00) as a 3 to 5 year hold? if no, any better recommendations in this field?
Many thanks
Many thanks