Q: With Dollarama breaking below $150 today (March 9) do you believe this is a good time to get in or do I wait to see how much lower it can go. Also how do you see this stock as an RSP investment with how many years to hold? Please and thanks.
You can view 3 more answers this month. Sign up for a free trial for unlimited access.
Investment Q&A
Not investment advice or solicitation to buy/sell securities. Do your own due diligence and/or consult an advisor.
Q: I used to own for years in the income trust days and eventually sold on price appreciation some years ago. What do you think of it now for income - safety, any growth etc. Thanks
Q: I checked out Trevali Mining at the PDAC conference this week and noticed that it has over 800 million shares outstanding. Do you think this is a concern in the sense that they might decide to consolidate at some point. Also could you provide the fully diluted number of shares as well as recent insider activity and overall ownership. Thanks.
Q: Could you provide estimates for PBL for its earnings today. Do you still like this company. Thanks. Chris
Q: In respect to today's announcement that the auditors have resigned, what are the chances that the “reportable event” with respect to “unresolved issues”is not seriously negative?
Q: What are your thoughts on OLED at today's prices? Considering it's recent earnings reports have beat expectations and guidance is only slightly lower, does the price drop not seem like an overreaction?
Q: Can you tell me the difference between investing in The Sprott Energy Fund(SPR006) vs Sprott Energy Opportunities Trust (NRGY.UN).
From what I've read the Trust tries to replicate the Fund. I'm curious if there are pros/cons in going with one over the other.
Thanks!
From what I've read the Trust tries to replicate the Fund. I'm curious if there are pros/cons in going with one over the other.
Thanks!
-
Finning International Inc. (FTT)
-
Boyd Group Income Fund (BYD.UN)
-
Cervus Equipment Corporation (CERV)
-
Rocky Mountain Dealerships Inc. (RME)
Q: Which of the mentioned companies would you buy today (and why) for a long term rrsp hold? Thanks for all your advice.
Q: Should I be selling NVDA stocks or keeping them, considering they stock prices raises due to bitcoin popularity. However as bit coin might go down, would NVDA still be a longer term investment?
Q: Hi Guys,
Can I please get your opinion of High Artic's latest results.
Thanks
Dave
Can I please get your opinion of High Artic's latest results.
Thanks
Dave
Q: Gentlemen,
My Basic mat'l sector allocation is 3%, I have SJ (2.60% PF, +4.77% gain) and TECK.b (0.4%PF, -7% lost).
I wish to add 2% . Please give you thoughts.
Thanks
best Regards
My Basic mat'l sector allocation is 3%, I have SJ (2.60% PF, +4.77% gain) and TECK.b (0.4%PF, -7% lost).
I wish to add 2% . Please give you thoughts.
Thanks
best Regards
Q: How high to you see this going within the next year? Are insiders buying? Are institutional investors buying? If not, do you think institutions will? Are you comfortable here for high risk speculative buy? I think risk reward is better now with FDA than it was a week ago
-
Adobe Inc. (ADBE)
-
Salesforce Inc. (CRM)
-
Xylem Inc. New (XYL)
-
ServiceNow Inc. (NOW)
-
Just Eat Takeaway.com N.V. (GRUB)
Q: Hello 5i
Please give me your thoughts on the above companies with regard to growth over the next 12-24 months. Which would you prefer?
Thank you so much for all your invaluable guidance!!
Dave
Please give me your thoughts on the above companies with regard to growth over the next 12-24 months. Which would you prefer?
Thank you so much for all your invaluable guidance!!
Dave
Q: I wish to sell my position in ESN in order to utilise a capital loss. Is there an undervalued energy services company which you would recommend as a replacement?
Thank you.
Thank you.
Q: If this ETF ever owned Amazon, (sadly) it no longer does.
Q: I have ZQQ, TECH GIANTS as my holdings in tech. I would like to buy some individual tech companies for both my CDN and US portfolios. Could you recommend 2 or 3 stocks each from Canada and the US THAT would be good growth companies.
Thanks for your advice.
Kevin
Thanks for your advice.
Kevin
-
Micron Technology Inc. (MU)
-
NVIDIA Corporation (NVDA)
-
Just Eat Takeaway.com N.V. (GRUB)
-
Spotify Technology S.A. (SPOT)
Q: I have a well diversified CND and US portfolio. I have some US cash to deploy and currently own BAC, BIIB, GOOGL, AAPL, DWDP, FLIR, MS, SWKS and PYPL. I have a high risk tolerance and am looking for growth vs income. What would you top 3 US names be in order and what is your rational for the 3 picks. Thank you - Your advice has helped me become a better investor, GREAT service.
Scott
Scott
Q: According to BloombergBusinessWeek , Cigna’s offer to buy ESRX.us includes $15 billion in debt, and Cigna will pay $48.75 in cash plus 0.2434 shares per Express Scripts share. That is approximately $96.03 per share , says Bloomberg. Yet in the past 2 days (8 and midday 9 March) ESRX shares have traded in the range US$79 – 85. This is noticeably lower than the offer valued at $96.
Do you see this as an opportunity to buy more ESRX? Or should an ESRX holder just wait and see? OR, do you think it is best to manage risk and sell ---even if price is 10 to 15% below current offer from Cigna. Is deal risk higher than most on this offer, given upheavels seen by pharmacy benefits managers and pharma chains like CVS?
Do you see this as an opportunity to buy more ESRX? Or should an ESRX holder just wait and see? OR, do you think it is best to manage risk and sell ---even if price is 10 to 15% below current offer from Cigna. Is deal risk higher than most on this offer, given upheavels seen by pharmacy benefits managers and pharma chains like CVS?
Q: I'm thinking of getting back into TSGI. Should I wait until March 14th for the release of the fourth quarter financial results ? Thanks.
Q: Good morning 5i
I have benefited quite well from the ten year market performance. Not as well as if I had bought the US Market on March 9 2009 and added new capital all the way. In some individual stock positions I have experienced losses during this longest bull market run.
Additionally, over the past couple years, 5i has add positively to net asset value and this investor's awareness level.
The question here is about seeing through an inevitable correction or bear market event.
The minor correction event of 2018 offered a view to how it will feel when prices decline.
In the wake of that event, how does an investor continue to deploy and redeploy capital while staring at the high potential for a market decline.
The difficulty being experienced is, as I cleanup and balance individual weighting, it is now difficult to make a go-forward redeployment decision......add to equity exposure.
Additionally, the amount of time being waisted watching daily price movements has increased.
Some days it feels like going to cash would solve all my concerns. It would not however since asset growth is a necessary target.
From your experience would you please offer some Thoughts and guidance on what is written above?
Thanks
Dave
I have benefited quite well from the ten year market performance. Not as well as if I had bought the US Market on March 9 2009 and added new capital all the way. In some individual stock positions I have experienced losses during this longest bull market run.
Additionally, over the past couple years, 5i has add positively to net asset value and this investor's awareness level.
The question here is about seeing through an inevitable correction or bear market event.
The minor correction event of 2018 offered a view to how it will feel when prices decline.
In the wake of that event, how does an investor continue to deploy and redeploy capital while staring at the high potential for a market decline.
The difficulty being experienced is, as I cleanup and balance individual weighting, it is now difficult to make a go-forward redeployment decision......add to equity exposure.
Additionally, the amount of time being waisted watching daily price movements has increased.
Some days it feels like going to cash would solve all my concerns. It would not however since asset growth is a necessary target.
From your experience would you please offer some Thoughts and guidance on what is written above?
Thanks
Dave