Q: Please comment in more detail about the 25% drop in share price in the past month, the massive debt load at over 3x total equity - to increase I assume with recent acquisitions, and on what appears to be a major revaluation by the market. In your last report on BEP.UN (July/21) you stated the 12.4x forward sales multiple (at the time) was the lowest since 2019. Currently BEPC appears to be trading at less than 2x sales.
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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: We are a retired couple (63,62), living in our paid-off house, no pensions, with only registered RRSP investments to fund our retirement, drawing down RRSPs for last 5 years. We are concerned with our YTD RRSP return (-15%) in our Balanced/Growth portfolio (85-15).
In general terms, given current market conditions/recession risk, what asset allocation would you suggest going forward? Thank you.
In general terms, given current market conditions/recession risk, what asset allocation would you suggest going forward? Thank you.
Q: How significant is the news release this morning.
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Park Lawn Corporation (PLC)
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Carriage Services Inc. (CSV)
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MKS Inc. (MKSI)
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Ultra Clean Holdings Inc. (UCTT)
Q: Hi Team. I have taxable losses in CSV (-36.5%) and UCTT (-53.9%) I am thinking of selling them and replacing CSV with PLC ( I appreciate the later is C$) and UCTT with MKSI. The switch depends on whether the substitutes have similar expectations going forward. The alternative is to simply sell CSV and UCTT and wait 30 days to buy them back. Which strategy do you think makes more sense at the present time?
Q: SEDG is down a lot. ENPH is holding up. Could you provide your thoughts on what's happened here and briefly compare with your preference, all things considered.
ENPH seems to be the leader in the space. Do feel it will continue to outperform or that SEDG could catch up? Leader vs laggard?
thanks, M
ENPH seems to be the leader in the space. Do feel it will continue to outperform or that SEDG could catch up? Leader vs laggard?
thanks, M
Q: Hi Team,
Your opinion please on the Alternative ETFs for next few years for 5 to 10% cash to reduce the actual stock market risk.
Found these ETFs PFIX, DBMF, KMLM
Thanks
Best Regards
Your opinion please on the Alternative ETFs for next few years for 5 to 10% cash to reduce the actual stock market risk.
Found these ETFs PFIX, DBMF, KMLM
Thanks
Best Regards
Q: It seems that a lot of the financial press seems to expect a rally when the US Fed stops increasing rates. Wouldn’t this rally just be another bear market rally? We would still have to enter recession, perhaps in Q2/Q3/Q4 of 2023. The actual rally that sticks, ie. the beginning of the next bull market, would be the one predicting the recession’s end and the subsequent rise in earnings right?
Q: Good Evening
Allied Properties is down 57%. and trading at 2012 levels.
Do you see any further declines. Would you sell at these levels or hold. Is it also advisable to average down at these levels. Any comments also on the sustainability of the dividend will be appreciated.
Thanks.
Allied Properties is down 57%. and trading at 2012 levels.
Do you see any further declines. Would you sell at these levels or hold. Is it also advisable to average down at these levels. Any comments also on the sustainability of the dividend will be appreciated.
Thanks.
Q: Would this be a good time to add to a position in HR.UN?
Thanks Ron
Thanks Ron
Q: According to my discount broker, the Toronto Stock and Venture Exchange made the decision to eliminate "All or None" orders back in 2008. However, the US exchanges still offer the ability to choose this option.
This is a pain when selling low trading volume stocks, resulting in delays in exiting a position and multiple commissions. Are there any strategies you employ when you want to exit thinly traded positions?
Definitely something I will pay better attention to before purchasing stocks in the future!
Many Thanks
Scott
This is a pain when selling low trading volume stocks, resulting in delays in exiting a position and multiple commissions. Are there any strategies you employ when you want to exit thinly traded positions?
Definitely something I will pay better attention to before purchasing stocks in the future!
Many Thanks
Scott
Q: I read where the operator of the Sakhalin-1 oil and gas project in Russia's Far East has been changed by Russian gov't decree. What is the risk for a firm like Parex or others with significant foreign operations to be affected in the same manner, including being nationalized?
Would you have a list of the larger energy companies with significant foreign operations? I know from my past work in the oil and gas industry [40 years ago] nationalization insurance was available. I'm not aware if it is still available or not.
Thank you
Would you have a list of the larger energy companies with significant foreign operations? I know from my past work in the oil and gas industry [40 years ago] nationalization insurance was available. I'm not aware if it is still available or not.
Thank you
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Amazon.com Inc. (AMZN)
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Alphabet Inc. (GOOG)
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Microsoft Corporation (MSFT)
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NVIDIA Corporation (NVDA)
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Salesforce Inc. (CRM)
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Lennar Corporation Class A (LEN)
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ServiceNow Inc. (NOW)
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Crocs Inc. (CROX)
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Fox Factory Holding Corp. (FOXF)
Q: Hi 5i:
I've been away for a while and not keeping up with Questions, so this may already have been asked and answered. if so, please provide a link to the answer.
I'm hoping you could advise what sectors you think will reverse the current trend and begin to appreciate in value more quickly than others and, also, if you could identify three or so names you would expect to 'lead the charge' in each of those sectors.
If time and space permit, any commentary you might have regarding each identified sector and/or name would be appreciated. Thanks!
Peter
I've been away for a while and not keeping up with Questions, so this may already have been asked and answered. if so, please provide a link to the answer.
I'm hoping you could advise what sectors you think will reverse the current trend and begin to appreciate in value more quickly than others and, also, if you could identify three or so names you would expect to 'lead the charge' in each of those sectors.
If time and space permit, any commentary you might have regarding each identified sector and/or name would be appreciated. Thanks!
Peter
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iShares Russell 2000 Growth ETF (IWO)
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iShares S&P/TSX 60 Index ETF (XIU)
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Vanguard S&P 500 Index ETF (VFV)
Q: My Son has $12,000.00 to open a new TFSA. He has selected the following stocks
XIU(50)-ZNQ(50)- VFV(25)- ZUT(100)-ZRE(100)- ZPR(200)
He plans to add $6000.00 plus Dividends each year and buy more of same, for next twenty -five years. Will he get a good return on his choice. or does he need to diversify more or only buy the first three. Welcome your direction to maximum total return or close to it. Can accept risk. Many Thanks---Cec
XIU(50)-ZNQ(50)- VFV(25)- ZUT(100)-ZRE(100)- ZPR(200)
He plans to add $6000.00 plus Dividends each year and buy more of same, for next twenty -five years. Will he get a good return on his choice. or does he need to diversify more or only buy the first three. Welcome your direction to maximum total return or close to it. Can accept risk. Many Thanks---Cec
Q: Hello, I sold SYZ a month ago for tax-loss purposes. I thought I would buy it back if the share price was below what I sold it for (it is). I hesitate to buy it because I worry the co will cut its dividend to fund growth and/or reduce debt, which would hurt the share price quite a bit. Should I wait until the 3rd quarter reporting in November in the hope that the co will be clearer on its intent to keep the div as is? Thanks.
Q: In this time of rising interest rates , do you think one should hold on to EMA and FTS for the longer term or should I sell if you think they may tank a lot more?
Q: Two months ago I sold AQN to harvest a loss and reinvested in ACO.X which has slumped ( like the market, like the sector). I'm now looking at the AQN yield and wondering whether taking a loss in ACO and re-buying AQN is a good move. I can use the losses but its not urgent. Your thoughts please? thanks. Al
Q: good morning. can you please give me your updated opinion these two companies which I own and am wondering whether to add, sell or just sit. Thanks al
Q: Is it possible that EGLX may not survive or that is unlikely. I'm worrying a little that it hit 94 cents today.
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Apple Inc. (AAPL)
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Amazon.com Inc. (AMZN)
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Alphabet Inc. (GOOG)
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Microsoft Corporation (MSFT)
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Bank of America Corporation (BAC)
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JPMorgan Chase & Co. (JPM)
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Royal Bank of Canada (RY)
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Toronto-Dominion Bank (The) (TD)
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Constellation Software Inc. (CSU)
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Brookfield Renewable Partners L.P. (BEP.UN)
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Aritzia Inc. Subordinate Voting Shares (ATZ)
Q: In your answer to a question on BAM.a today you indicated that it is a company you are least worried about. What are a few other companies you are "least worried about"?
Q: You recently suggested that TOI was one of the best growth stocks for a 3 year window. Is that still the case after a significant drop in the last week and is this a good time to slowly accumulate some more or should I wait.