Q: What is your option on this ipo?
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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: Can you tell me your thoughts on the Q4 report from BIP.un a few days ago please. Are you concerned about the huge non cash charges? Will those non cash charges turn into cash charges down the road? Is the resulting drop in the share price a buying opportunity?
Q: Could you please explain the term "weighted alpha" in the context of tracking and assessing a stock?
Thank you,
John
Thank you,
John
Q: UNH.us has been doing well. I am reluctant to trim but to avoid personal bias I ask:
Is valuation now too high? On price to Free cash flow, it looks expensive vs. history. s PEG is ~2 but ROE looks attractive at ~24%. Is such ROE sustainable given competitive forces at play ... I worry its moat is now not good as it was in the recent --- am I wrong?
Do you think UNH will GROW its dividend?
Is debt manageable?
Is valuation now too high? On price to Free cash flow, it looks expensive vs. history. s PEG is ~2 but ROE looks attractive at ~24%. Is such ROE sustainable given competitive forces at play ... I worry its moat is now not good as it was in the recent --- am I wrong?
Do you think UNH will GROW its dividend?
Is debt manageable?
Q: Good morning Peter, Ryan & Team,
I am looking at my international and american exposure. Can you give me a rough idea about what percentage of companies in the balanced portfolio have american and international exposure and how significant it is? Does that typically play to your portfolio country allocation? For example, I have 20% american equities, but X percentage of Canadian equities from the balanced portfolio get the majority of their revenue from the US, would you consider that a (20 + x) american exposure?
Thanks for your time,
Wes
I am looking at my international and american exposure. Can you give me a rough idea about what percentage of companies in the balanced portfolio have american and international exposure and how significant it is? Does that typically play to your portfolio country allocation? For example, I have 20% american equities, but X percentage of Canadian equities from the balanced portfolio get the majority of their revenue from the US, would you consider that a (20 + x) american exposure?
Thanks for your time,
Wes
Q: My question is about how to manage the bond/ fixed income part of a portfolio. I have read that bonds etf are not as effective as stocks etf.
For a 5-10 year time frame, would you either invest in a mix of bond/pref etf (CBO/XBB/CPD) or in a actively managed fund (for example a pimco product) ? I was considering mixing the 3 etf + PIMF (a pimco etf). PIMF seems to expose the portfolio to products that are not available in the other ETF (like mortgage based security). Could you comment on a strategy?
I found bond investment way more complicated to understand than for stocks (yield curve, increasing interest rates, variety of products that are available). I'm also a member of your ETF newsletter. Any other comments or references you could suggest,
For a 5-10 year time frame, would you either invest in a mix of bond/pref etf (CBO/XBB/CPD) or in a actively managed fund (for example a pimco product) ? I was considering mixing the 3 etf + PIMF (a pimco etf). PIMF seems to expose the portfolio to products that are not available in the other ETF (like mortgage based security). Could you comment on a strategy?
I found bond investment way more complicated to understand than for stocks (yield curve, increasing interest rates, variety of products that are available). I'm also a member of your ETF newsletter. Any other comments or references you could suggest,
Q: Please comment on earnings.
Thanks!
Thanks!
Q: Can you tell me if RY is as diversified as TD or is it more of a "Canada" only bank.
Thank You
Craig
Thank You
Craig
Q: Hi, could you offer any advice on CHIP program or reverse mortgage to release funds to seniors wishing not to downside, thanks.
Q: Good Afternoon,
Would you consider RME's results to be okay and would you keep holding in a TFSA acct?
SJ is having a bad day. Would you initiate a position with this weakness?
Would you consider RME's results to be okay and would you keep holding in a TFSA acct?
SJ is having a bad day. Would you initiate a position with this weakness?
Q: Hi Peter an team, I've had these two darlings for a while, so of course I'm down. In a previous question when the price of oil was much lower you said they could rally if the price of oil would rise. How come there hasn't been a bit of a rally in these two. Thanks, Nick
Q: Hi 5i,
Are both still regarded well by your team? What would you consider good entry points?
TIA
Are both still regarded well by your team? What would you consider good entry points?
TIA
Q: Your comments on the most recent earnings of TV would be appreciated & also your opinion re the drop in price.
Thanks, as always,
Dave
Thanks, as always,
Dave
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Stella-Jones Inc. (SJ $78.81)
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Uni-Select Inc. (UNS $47.96)
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Premium Brands Holdings Corporation (PBH $87.11)
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Savaria Corporation (SIS $19.84)
Q: I realize these are different companies and somewhat hard to compare. I am down 24% on UNS, and since I am looking for growth would you hold or switch to SJ? Is there anything else that you would recommend irrespective of risk/industry?
Q: Thoughts on this company that started trading today
Q: Hi there,
I currently own both these companies however i am wondering if its work switching to Artis (AX.un) given the cheaper evaluation and its expansion outside of Alberta. Looks like the worst is behind it but just wondering if its worth the switch. Look for a bit of growth and yield.
Thanks
I currently own both these companies however i am wondering if its work switching to Artis (AX.un) given the cheaper evaluation and its expansion outside of Alberta. Looks like the worst is behind it but just wondering if its worth the switch. Look for a bit of growth and yield.
Thanks
Q: Could I have yout outlook on this company?
Q: Can you comment on this IPO- another cannabis producer
going public. I understand they have a relationship with Aurora
Any valuation comparisons or competitive advantages?
going public. I understand they have a relationship with Aurora
Any valuation comparisons or competitive advantages?
Q: Hello 5i
I find myself gravitating(buying) more and more to US stocks in search of above average growth. I believe you have said non Cdn allocation is personal choice but I could fill my entire portfolio with US stocks. What do you see as the biggest negative to this?
Thanks
Dave
I find myself gravitating(buying) more and more to US stocks in search of above average growth. I believe you have said non Cdn allocation is personal choice but I could fill my entire portfolio with US stocks. What do you see as the biggest negative to this?
Thanks
Dave
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Bank of Nova Scotia (The) (BNS $76.53)
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Enbridge Inc. (ENB $63.73)
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Sun Life Financial Inc. (SLF $83.33)
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TELUS Corporation (T $21.54)
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Constellation Software Inc. (CSU $4,718.31)
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Dollarama Inc. (DOL $189.67)
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Magna International Inc. (MG $57.05)
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Thomson Reuters Corporation (TRI $277.45)
Q: My portfolio has gotten very International over the past several years and I was wondering if you could give me a number of non resource names that you would consider Canadian core holdings - stocks that everyone should own. I already own BAM.a, NTR, AQN, ATD.b, TRP, SHOP, BIP.un, DOL and CNR. Thank you