Shorts right on cxr, vrx, any big loser:
All the above would have closed below their 200 day moving average at some point. Selling at that point would have eliminated any big loser.
If I was to take a position in gold, just wondering whether it would be better to invest in a gold etf such as GLD or in gold mining companies. Also would you please recommend some gold mining stocks.
Q: Peter, in the past you've indicated that you want to like this stock more. It's finally moved over this past half year, or so, as it's finally getting noticed again.
Can you get past the fees, etc., which you've objected to previously? To me, the fees are relatively modest, considering the discount to NAV, private holdings, astute management, overall long term decisions made by the company, etc.
They have a good sized stake in Real Matters, which will have its IPO in early May.
And, would you consider it ever for a spot in one of your coveted portfolios?
In the real estate sector, I have a position of 7% in D.UN, and 2.5% in CUF.UN. Both positions are respectively held in my TFSA and RRSP. I would book a 15% profit over the past year if I were to sell. How important is it to be exposed directly to real estate?
What's your thought on selling to buy more growth oriented stocks since I am a young investor and don't really need the income. What would be your company suggestions? I am currently underweight in consumer defensive (3% ATD.B), industrials (3% SNC, 3% WJA) or/and could also add another position in technology (2%BB, 2%PHO, 5% OTEX, 6% KXS).
Q: As these 2 Brookfield stocks are closely related, which one would you prefer at this time. Returns for the last year seems to be quite a bit higher for BRF.PR.A. Tnx
Q: I am interested in Blockchain technology. Can you discuss some of the leading corporations developing that technology in North America? Thanks for your comments.
Q: With BMO and RY recently announcing they will securitize and sell uninsured Canadian Alt A mortgages, does this indicate that Cdn banks are following in the same foot steps of US financials leading up to 2008 financial crisis? What is your view on what this portends for Cdn financials and the Cdn housing market?
Q: the shorts were right on valeant, right on concordia, right on home capital, right on dh corp, maybe they are also right on crh medical, by the price action it certainly seems like they are right, just maybe you have this one wrong. please comment. dave
Q: Hi Peter and Team,
Home Capital Group Inc said founder and former CEO Gerald Soloway will step down from the board once a replacement is found. Is things at HCG get worse? Is HCG, stock price bottomed?
Thanks
Q: They are asking for a 4 to 1 or 6 to 1 ratio for shareholders to vote. Management is also asking for better deal for themselves.What is 5i opinion on these type of moves.With this share consolidation will it remain speculative or will it be good eventually.Is this another PGF
Q: I own three reset preferreds that were purchased at the issue price. All are underwater by large amounts. AIM.PR.C is trading at $17.52 yielding 8.8%, AZP.PR.B is trading at $19.20 yielding 7.2%, and DC. PR. B is trading at $16.20 yielding 8.8%. With the dividend tax credit the yield averages is well over 10%. How financial stable are those three companies? Are the yields adequate for the risk being taken? Are those shares sells or holds for income?