Q: Thinking of taking a 1/2 position in Japan. On I-Trade they show BBJP with a 9% dividend, but Google Finance has it under 3%. I wondered if Reuters has either of those numbers? Also, wondered if you were going to do this, would you go with Japan or South Korea? Thank you so much…
Q: In my well diversified portfolio, ignoring taxes and cash requirements, which of the above equities would it prudent to be sell or add to currently? Thank you.
Q: When looking at these stocks in terms of management team, growth, potential, and outlook for 5-10 years+, how you would rank them in order starting with the best and why?
Q: I own LSPD and am up 30%+. Would you recommend staying the course with Lightspeed or selling and purchasing KXS? This represents the 2% of my portfolio I allocate to higher risk equities. (In my TFSA so capital gains is not an issue.) Thank you.
Q: I have a young person who own TD and FSZ as their only financial stocks. They have been under water since they bought FSZ 4 % weight and wondered if better to sell or buy another financial stock or just hold FSZ and buy a third financial stock? For a young person which financial stock would you recommend if buying a third stock to add to the portfolio?
Thanks
Q: FYI: TD Waterhouse - This is what I get when I try to buy PSA or CSAV:
This order cannot be placed electronically. Please contact TD Direct Investing ... to place this order. [ 90211 ]
This symbol is not eligible for trading online. For assistance, please call TD Direct Investing. [ 44221 ]
Q: I started following the 5i balanced equity portfolio in my LIRA a couple of months ago, but to change it up I am thinking about taking a 5% portfolio position in one of these companies. I have a 25-year investment time horizon for my LIRA. If I wanted to replace one of the 5i balanced equity portfolio funds with one of SHOP, APPL, TSLA, GOOG or AMZN, what would you recommend (both the one I would sell and the one to replace it with)?
Q: Hello Peter, Asked this question over weekend, but may be lost somewhere so asking again.
As part of a balanced portfolio in TFSA, which of these are worthy of new money in order of preference ( FROM TOTAL RETURN PERSPECTIVE - 3 YEAR TIME FRAME), I own all of these but low in weights. X, NFI, TOY,NTR,QSR,SIS, ATD.
Or if anyone else you like better.
Also, if any of these is a outright sell and re-allocate into others.
Q: Since the change with BYD my Google spread sheet has not been able to pull in a quote for Boyd. Just wondering if other members have experienced a problem?
Thanks
Mike
Everquote, if this was a Canadian company, where would you place this, balance or growth portfolio? Also, could you compare this company to a lspd or shop? Finally, would you take a position on it?
Thanks,
Jim
Q: Good morning team
Can you steer me in the direction of some very good articles on Reverse mortgages please? I'm thinking of major upgades/renovations to my home. I spoke to an appraiser and he pointed out to me that if we hit a 10 year ish stretch of decline or no growth in realestate that it could be a very bad idea if I chose to sell??
Thanks for keeping me on track. All is going very well at this juncture.!