Q: Hi Everyone at 5i!! I was considering adding the following to my dividend/growth retirement portfolio: APD, AOS, and GPL. I would value your thoughts on the suitability of these stocks for such a portfolio and the stability of these stocks in a recession. Cheers, Tamara
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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: What’s the fair value for Apps and Upst? I’m down 80%, very small positions, should I average down? Thanks always
Q: Can you discuss why these two keep dropping and projections for the future. Many thanks.
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Micron Technology Inc. (MU)
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Trisura Group Ltd. (TSU)
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iShares U.S. Technology ETF (IYW)
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Nuvei Corporation Subordinate Voting Shares (NVEI)
Q: Hello
I am underweight in tech, overweight in Financials and have a few stocks under 1% in the portfolio. I am low on my US holdings
Thinking of future 5 years.
Sell NVEI, MU and TSU and buy IYW.
Your comments or suggestions most welcome.
Thank you
Mike
I am underweight in tech, overweight in Financials and have a few stocks under 1% in the portfolio. I am low on my US holdings
Thinking of future 5 years.
Sell NVEI, MU and TSU and buy IYW.
Your comments or suggestions most welcome.
Thank you
Mike
Q: May I have your opinion on Pne.
It is yielding about 6% and is almost down 25% from its recent high.
It is yielding about 6% and is almost down 25% from its recent high.
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NVIDIA Corporation (NVDA)
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Verizon Communications Inc. (VZ)
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Williams Companies Inc. (The) (WMB)
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Sun Life Financial Inc. (SLF)
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Fortis Inc. (FTS)
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WSP Global Inc. (WSP)
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Stella-Jones Inc. (SJ)
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Premium Brands Holdings Corporation (PBH)
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WELL Health Technologies Corp. (WELL)
Q: Hello, happy Canada to all. Currently building a moderate portfolio with the stocks above, all full positions except WSP, open to also taking on some more risk and buying into the negativity. Long runway of 5-10+ years. Am looking for 3 new options that would help achieve an overall 2.5-3% dividend yield (2 CAN and 1 US). And 3 growth options (2 CAN and 1 US). Please omit GSY, ENB, MG, TOI, and GOOG (I know, sorry) as these are also held in a separate account. Thank you for all that you do!
Q: I bought some shares of this Russian ETF the day they put a no trading.
Is there going to be any value in the future?
Can I get rid of it?
Is there going to be any value in the future?
Can I get rid of it?
Q: Perhaps a bit out of your ballpark, but related to thoughts about bond markets.
I am currently on a floating mortgage which was very attractive a couple of years ago. That is going up, of course, but locking in would be about 2-3% higher.
You can't predict the future, but what do you see as the wise choice here? Stick with the floating rate or bite the bullet and lock in for the next 3-4 years?
I am currently on a floating mortgage which was very attractive a couple of years ago. That is going up, of course, but locking in would be about 2-3% higher.
You can't predict the future, but what do you see as the wise choice here? Stick with the floating rate or bite the bullet and lock in for the next 3-4 years?
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Duke Energy Corporation (Holding Company) (DUK)
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Exelon Corporation (EXC)
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Fluor Corporation (FLR)
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Jacobs Solutions Inc. (J)
Q: Can you suggest some pick and shovel ways of investing in the theme that a dramatic increase in atomic energy production is the only reasonable way to produce the electric power necessary to replace fossil fuels? i.e. producers or suppliers to producers other than uranium miners.
The theory is that wind and solar both have environmental negatives as well is seasonal and 24 hour availability issues that suggest there are limits to their contribution.
Secondly how, valid do you think the premise is?
Thanks, Hugh
The theory is that wind and solar both have environmental negatives as well is seasonal and 24 hour availability issues that suggest there are limits to their contribution.
Secondly how, valid do you think the premise is?
Thanks, Hugh
Q: Dear 5i,
Do you like RSG or WM as a 2% position long term hold in a TFSA.
If so, which one would you pick between the two and why?
Are the balance sheets solid for either one?
thanks
Do you like RSG or WM as a 2% position long term hold in a TFSA.
If so, which one would you pick between the two and why?
Are the balance sheets solid for either one?
thanks
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Electrovaya Inc. (EFL)
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NextSource Materials Inc. (NEXT)
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Nord Precious Metals Mining Inc Com (CCW)
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Skycap Investment Holdings Inc. (LIM)
Q: I am a new investor looking for a stock to hold. Are any of these these four companies a recommended investment at this time. Greatly appreciate your feedback.
Q: Good Morning,
I have stayed away from Oil and Gas during the current resurgence having been been burned badly in the past.
The sector, however, has become very hard to ignore.
What would be your top 2 - 3 picks for a conservative retired income investor?
Thanks very much.
I have stayed away from Oil and Gas during the current resurgence having been been burned badly in the past.
The sector, however, has become very hard to ignore.
What would be your top 2 - 3 picks for a conservative retired income investor?
Thanks very much.
Q: Am thinking of selling to crystallize tax loss and rebuying in 30 days. My timing is usually terrible when doing this. Do you think the market will make any significant moves in the next 30 days?
What replacement stocks would you recommend to buy for the 30 days?
Is SIS worth rebuying or is there something else in the Industrial space that would be better? Was thinking of EIF.
What replacement stocks would you recommend to buy for the 30 days?
Is SIS worth rebuying or is there something else in the Industrial space that would be better? Was thinking of EIF.
Q: Hi 5i,
There is a lot of doom and gloom around the potential for a recession. Do you feel that the market has already priced this in? I am hesitant to deploy additional capital in advance of the government confirming a recession which could result in another steep decline.
Would the confirmation of a recession happen on a specific date (i.e. at a specific time in the quarter?)
There is a lot of doom and gloom around the potential for a recession. Do you feel that the market has already priced this in? I am hesitant to deploy additional capital in advance of the government confirming a recession which could result in another steep decline.
Would the confirmation of a recession happen on a specific date (i.e. at a specific time in the quarter?)
Q: I held Intertape through the sale. I was only credited $31.39 for my shares, not the $40.50 I expected. Anyone could have sold all last week for over $40.00. Do you know if the credit is coming in two parts?
Thank you,
Thank you,
Q: My portfolio is split about 50-50% in C$ and US$. Over the next few years I'm bullish C$ (and A$) and bearish US$ but think shifting to something like 75-25% is risky if I'm wrong.
In this scenario does buying an ETF such as FXA with some funds in my US$ account make sense as a partial hedge against the US$? Any other strategies you could suggest?
In this scenario does buying an ETF such as FXA with some funds in my US$ account make sense as a partial hedge against the US$? Any other strategies you could suggest?
Q: Pinterest and Docusign have recently replaced CEOs suggesting a need to change strategies. They, and companies like Enghouse seems to be facing uphill battles to regain the positive outlook they had a couple of years ago.
Is it worth sticking with these companies to see if they improve, or is it wiser to take my lumps in small positions in these companies and consolidate into bigger positions in companies that offer more promise going forward like GOOG and BAM?
Is it worth sticking with these companies to see if they improve, or is it wiser to take my lumps in small positions in these companies and consolidate into bigger positions in companies that offer more promise going forward like GOOG and BAM?
Q: Have losses on ZAG in a cash account. In your opinion, would selling ZAG and buying XFR (suggest a better one?) be a good move right now and pass the superficial loss test?
Many thanks.
Many thanks.
Q: I found this article in today's globe quite surprising:
Banks block online sale of cash ETFs that compete with bank savings products
I hope there is sufficient outrage to get banks to change their practice. I am amazed that they can get away with this.
Banks block online sale of cash ETFs that compete with bank savings products
I hope there is sufficient outrage to get banks to change their practice. I am amazed that they can get away with this.
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Micron Technology Inc. (MU)
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NVIDIA Corporation (NVDA)
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Advanced Micro Devices Inc. (AMD)
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Marvell Technology Inc. (MRVL)
Q: Can I have your comments on microns earnings and guidance and how that may bode for other chip stocks? I also own Nvda, mrvl and amd and am down on all. Thanks.
Jason
Jason