Q: I have checked earnings and your answers to questions which are now over a year , would your opinion be different re expected increased earnings going fwd …overall would u recommend or perhaps u have a more favourite stock in this category….thanks
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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.
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Lightspeed Commerce Inc. Subordinate Voting Shares (LSPD)
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Nuvei Corporation Subordinate Voting Shares (NVEI)
Q: Both of these are up YTD quite a bit, what are your thoughts in beginning position at current levels, which is your preference, and rationale. TIA
Q: I have a question about 89639
Hi 5i,
NSGE ETF is a Sustainable Global ETF that has been around for a little over 1 Year. It has good performance since it's introduction. It's AUM have grown from approx. 10M to over 300M in a short time. Can you help explain why the trading volume is extremely low? Can you provide your overall thoughts for this ETF? Can you also provide your thoughts on the subadvisor Alliance Bernstein?
take care and thanks
Hi 5i,
NSGE ETF is a Sustainable Global ETF that has been around for a little over 1 Year. It has good performance since it's introduction. It's AUM have grown from approx. 10M to over 300M in a short time. Can you help explain why the trading volume is extremely low? Can you provide your overall thoughts for this ETF? Can you also provide your thoughts on the subadvisor Alliance Bernstein?
take care and thanks
Q: Can you provide guidance on what is the most appropriate strategy for profit taking? Should you have an objective in mind when purchasing, and when that goal is achieved, sell? Or if underlying investment still has solid fundamentals, continue to hold?
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NVIDIA Corporation (NVDA)
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Sun Life Financial Inc. (SLF)
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Descartes Systems Group Inc. (The) (DSG)
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Sonida Senior Living Inc Com (New) (CSU)
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Thomson Reuters Corp (TRI)
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Bank of Nova Scotia (The) (BNS)
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CrowdStrike Holdings Inc. (CRWD)
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Lightspeed Commerce Inc. Subordinate (LSPD)
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Nuvei Corporation Subordinate Voting Shares (NVEI)
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Mitek Systems Inc. (MITK)
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Topicus.com Inc. (TOI)
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Magnet Forensics Inc. Subordinate voting shares (MAGT)
Q: Greetings 5i,
The company's listed are TFSA holdings. The goal of the TFSA is moderately aggressive growth. Time frame is 4-8 years. Equities are purchased in equal weights and rebalanced based on weighting.
SLF and BNS are also held in other accounts, at an overall portfolio percent of ~5-6%. Which would you recommend adding to at this time? What do you consider the weakest from this list? Would you consider removing any from the TFSA holding only in either a non reg or reg account? If so, why? And which one, two or three additional growth oriented companies, either CAD or USD would you recommend.
Take as many credits as required.
Thank you for the excellent service.
The company's listed are TFSA holdings. The goal of the TFSA is moderately aggressive growth. Time frame is 4-8 years. Equities are purchased in equal weights and rebalanced based on weighting.
SLF and BNS are also held in other accounts, at an overall portfolio percent of ~5-6%. Which would you recommend adding to at this time? What do you consider the weakest from this list? Would you consider removing any from the TFSA holding only in either a non reg or reg account? If so, why? And which one, two or three additional growth oriented companies, either CAD or USD would you recommend.
Take as many credits as required.
Thank you for the excellent service.
Q: Hi 5i team
What is your assessment of Major Drilling’s first quarter results ? Is there a big demand for their services in the present environment. Do you think the drilling contract business in general is in a growth environment .
Thank you
What is your assessment of Major Drilling’s first quarter results ? Is there a big demand for their services in the present environment. Do you think the drilling contract business in general is in a growth environment .
Thank you
Q: If space is the final frontier, what is your opinion of MDA here? I like the fact it has 3 different business segments - can you comment on growth prospects and financial strength? Thanks
Q: Hi loved the free trial and will definitely renew! This has changed the way I view investing for sure. Leanred so much thanks! Know it's a bit late but could you comment on Lifespeak's Q2 earnings? Thanks!
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BMO Emerging Markets Bond Hedged to CAD Index ETF (ZEF)
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BMO High Yield US Corporate Bond Hedged to CAD Index ETF (ZHY)
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iShares U.S. High Yield Bond Index ETF (CAD-Hedged) (XHY)
Q: I own ZHY, XHY and ZEF bond ETFs. They do pay some income, but the capital is getting constantly depleted - I am 10% down on ZHY/XHY and 5% down on ZEF after holding them for many years. Is there a point of keeping these funds or should I get rid of them?
Q: Hi Peter
If I want to find sunlife revenue breakup by Canada, US, developed and emerging countries, where do I find it? I couldn’t find in their investor presentation. Can you help point to this information please?
If I want to find sunlife revenue breakup by Canada, US, developed and emerging countries, where do I find it? I couldn’t find in their investor presentation. Can you help point to this information please?
Q: I use to hold this etf for emerging markets exposure. I’ve decided I don’t want any exposure to China given their governments crack down on free markets. Is there an alternative emerging markets etf which trades in Canada (cad) that doesn’t have any China exposure? Thanks
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Brookfield Renewable Partners L.P. (BEP.UN)
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Brookfield Renewable Corporation Class A Exchangeable Subordinate Voting Shares (BEPC)
Q: Hi Guys,
I own all of the above (Bam.a 2.55%, Bepc 1.7% , Bep.un 2.2% ), I was thinking of selling either Bepc and Bep.un and purchasing more Bam.a.
Does this make any sense inside a balance portfolio.
thanks
Jim
I own all of the above (Bam.a 2.55%, Bepc 1.7% , Bep.un 2.2% ), I was thinking of selling either Bepc and Bep.un and purchasing more Bam.a.
Does this make any sense inside a balance portfolio.
thanks
Jim
Q: Hi guys,
I own BAM.A (2.5%), BEPC (1.80%) & BEP.UN (2.2%) inside a "balance ish" portfolio. Your thoughts on selling one of BEPC or BEP.UN and adding to BAM.A, making it a full position (5%).
Thanks
Jim
I own BAM.A (2.5%), BEPC (1.80%) & BEP.UN (2.2%) inside a "balance ish" portfolio. Your thoughts on selling one of BEPC or BEP.UN and adding to BAM.A, making it a full position (5%).
Thanks
Jim
Q: Hi Guys
Can i get your opinion on MSGE . I see the stock has had a nice pop lately. The balance sheet seems okay. Do you see value here based on discounting future cash flow models. ?
Thanks Gord
Can i get your opinion on MSGE . I see the stock has had a nice pop lately. The balance sheet seems okay. Do you see value here based on discounting future cash flow models. ?
Thanks Gord
Q: its been a while since you've been asked about ET. What's your thinking on this. The dividend looks too good to be true but so does that of ENB, in which I have a full Cdn position, Many thanks, as always. Good to have a reliable guide these days. al
Q: Omnicell Inc (OMCL) and Atomera Inc (ATOM). Buy,sell or hold.
Q: There's an election promise involving Canadian banks and 3%??? Would you please elaborate?
Q: Thoughts on the current buy out and stock exchange offer. If you where a holder of this stock what would you do now. I see there are lawsuits going on pertaining to this deal, what is the likely hood it goes through.
Thank you.
Thank you.
Q: I have been invested in EAF for a few years now (currently down a bit). It seems like they are making good progress in paying off their debt and over the time and the overhang of Brookfield selling off its stake is decreasing. I am fairly patient on this one and I am likely to keep being patient but do you see negative issues I may be discounting because I already hold it.
From my perspective they seem like they could end up with a low debt ratio and good cash flow in a few more years while the biggest risk seems to be that the long term contracts they have will not be rolled over at anywhere near the same levels.
From my perspective they seem like they could end up with a low debt ratio and good cash flow in a few more years while the biggest risk seems to be that the long term contracts they have will not be rolled over at anywhere near the same levels.
Q: I'm down about 34% on REAL in a registered account. I initially bought with a 5 year time frame in mind. What catalysts can you think of that might be a positive for the stock price? How likely are these to occur over the next year or two? With my time frame in mind, would you advise selling and moving on?