Q: Would you buy into the momentum, as you indicated that it would extend into the next Q at least. I have a large gain on NBIS and although it is still just a 6% weighting, I am thinking of selling 1/2 and putting it into FIX. Would you wait for a better entry or do it at current price? Or would you just hold the course with NBIS?
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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: What do you think of the earnings announcement on Oct 23rd?
They also increased the dividend by 20%. My notes show this is the 4th time this year they have announced an increase to the dividend (Feb, April, July and October).
They also increased the dividend by 20%. My notes show this is the 4th time this year they have announced an increase to the dividend (Feb, April, July and October).
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Eaton Corporation PLC (ETN $381.56)
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GE Aerospace (GE $308.95)
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United Rentals Inc. (URI $871.18)
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Linde plc (LIN $418.30)
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Axon Enterprise Inc. (AXON $732.23)
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EMCOR Group Inc. (EME $675.78)
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Comfort Systems USA Inc. (FIX $965.58)
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Heico Corporation (HEI $317.77)
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Vertiv Holdings LLC Class A (VRT $192.86)
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RTX Corporation (RTX $178.50)
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GE Vernova Inc. (GEV $585.14)
Q: Good morning 5i,
I hold the following industrial/material stocks in my RRSP: GEV (2%), FIX (2%) ETN (1.5%), HEI (1.5%), RTX (1.3%), GE (1.2%), LIN(1.2%), EME (1%), VRT (.5%). I also own AXON (3%).
I would like to increase the weight of some of these positions - ideally through consolidation. Could you please put these in order of conviction (growth) for a 5 - 10+ year hold. Are there any that you would sell outright? Would you recommend any other industrials?
Many thanks!
I hold the following industrial/material stocks in my RRSP: GEV (2%), FIX (2%) ETN (1.5%), HEI (1.5%), RTX (1.3%), GE (1.2%), LIN(1.2%), EME (1%), VRT (.5%). I also own AXON (3%).
I would like to increase the weight of some of these positions - ideally through consolidation. Could you please put these in order of conviction (growth) for a 5 - 10+ year hold. Are there any that you would sell outright? Would you recommend any other industrials?
Many thanks!
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Amphenol Corporation (APH $139.34)
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Celestica Inc. (CLS $482.87)
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Comfort Systems USA Inc. (FIX $965.58)
Q: Hi again,
Like CLS, these stocks have risen quickly and might be overvalued. Like CLS, some analysts seem to think the ride can continue.
Would you be comfortable initiating a position, at which price and why, please?
Thank you
Like CLS, these stocks have risen quickly and might be overvalued. Like CLS, some analysts seem to think the ride can continue.
Would you be comfortable initiating a position, at which price and why, please?
Thank you
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Caterpillar Inc. (CAT $577.26)
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Deere & Company (DE $461.63)
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Union Pacific Corporation (UNP $220.37)
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Canadian Pacific Kansas City Limited (CP $100.93)
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Transdigm Group Incorporated (TDG $1,308.51)
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Axon Enterprise Inc. (AXON $732.23)
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Comfort Systems USA Inc. (FIX $965.58)
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Old Dominion Freight Line Inc. (ODFL $140.42)
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Heico Corporation (HEI $317.77)
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L3Harris Technologies Inc. (LHX $289.10)
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Vertiv Holdings LLC Class A (VRT $192.86)
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RTX Corporation (RTX $178.50)
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Rocket Lab Corporation (RKLB $62.98)
Q: I hold partial positions in listed stocks. I would like to reduce and have a more concentrated sector holdings. Please advise those that can be dropped in favour of increasing the remainder and adding XLI for larger industrials. Could you rank with weights. What sector weight would you advise for total US and Cdn industrials? Thanks
My last question about ranking my industrial sector holdings, I omitted to add HEI and TDG. Hope you could add to your reply. THx
My last question about ranking my industrial sector holdings, I omitted to add HEI and TDG. Hope you could add to your reply. THx
Q: Fix again reported stellar results. My question is , does the company have an over reliance on the AI build or the build just icing on the cake .
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Costco Wholesale Corporation (COST $911.45)
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Progressive Corporation (The) (PGR $206.00)
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United Rentals Inc. (URI $871.18)
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Walmart Inc. (WMT $101.18)
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Caseys General Stores Inc. (CASY $513.19)
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Axon Enterprise Inc. (AXON $732.23)
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Arthur J. Gallagher & Co. (AJG $249.49)
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Comfort Systems USA Inc. (FIX $965.58)
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Brown & Brown Inc. (BRO $79.74)
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Robinhood Markets Inc. (HOOD $146.78)
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Skyward Specialty Insurance Group Inc. (SKWD $45.59)
Q: What are your top 3 sectors (ex tech) to invest in the US right now for the next 3 years ? I am looking to hold 3-5 years.
Please name your top 3 ideas (ranked if possible) in each of your preferred sectors for an investor with moderate to high risk appetite, regardless of market cap.
Thank you
Please name your top 3 ideas (ranked if possible) in each of your preferred sectors for an investor with moderate to high risk appetite, regardless of market cap.
Thank you
Q: Could you please comment on their quarterly results, thank you.
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Axon Enterprise Inc. (AXON $732.23)
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Curtiss-Wright Corporation (CW $595.73)
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Comfort Systems USA Inc. (FIX $965.58)
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Construction Partners Inc. (ROAD $114.35)
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Sterling Infrastructure Inc. (STRL $377.90)
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IES Holdings Inc. (IESC $391.88)
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Howmet Aerospace Inc. Ex-Distribution When Issued (HWM.W)
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Trane Technologies plc (TT $448.65)
Q: Is it too early in the tariff war to buy these 'growthy' names? If not, can you suggest two choices (prioritizing consistent earnings) and why you chose them?
Q: I hold Comfort Systems and am down significantly on the stock. Do you think it is worth holding and adding to or would you move on. If I were to move on could you suggest other names in the same space. Thank You.
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WSP Global Inc. (WSP $268.14)
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Hammond Power Solutions Inc. Class A Subordinate Voting Shares (HPS.A $214.00)
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Axon Enterprise Inc. (AXON $732.23)
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Comfort Systems USA Inc. (FIX $965.58)
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Vertiv Holdings LLC Class A (VRT $192.86)
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Shift4 Payments Inc. Class A (FOUR $69.10)
Q: Please rank from most conviction in a recovery to least conviction. Thank you
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Axon Enterprise Inc. (AXON $732.23)
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Comfort Systems USA Inc. (FIX $965.58)
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Vertiv Holdings LLC Class A (VRT $192.86)
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Shift4 Payments Inc. Class A (FOUR $69.10)
Q: Is FOUR debt level manageable to weather the storm? How would you rank with VRT, AXON and FIX
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WSP Global Inc. (WSP $268.14)
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Hammond Power Solutions Inc. Class A Subordinate Voting Shares (HPS.A $214.00)
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Axon Enterprise Inc. (AXON $732.23)
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Comfort Systems USA Inc. (FIX $965.58)
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Vertiv Holdings LLC Class A (VRT $192.86)
Q: Could you please list these industrial stocks in order of conviction from best to least conviction. thank you.
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Comfort Systems USA Inc. (FIX $965.58)
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Sterling Infrastructure Inc. (STRL $377.90)
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IES Holdings Inc. (IESC $391.88)
Q: Hi All at 5i!
I am wondering what your thoughts are on Sterling. I initially bought it at $53 and have trimmed away some of the gains. They report on the 25 th . The stock has declined in value over the last while. Do you still think it has good future prospects for growth.
Cheers,
Tamara
I am wondering what your thoughts are on Sterling. I initially bought it at $53 and have trimmed away some of the gains. They report on the 25 th . The stock has declined in value over the last while. Do you still think it has good future prospects for growth.
Cheers,
Tamara
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Intuitive Surgical Inc. (ISRG $534.28)
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Celestica Inc. (CLS $482.87)
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Axon Enterprise Inc. (AXON $732.23)
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Comfort Systems USA Inc. (FIX $965.58)
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Construction Partners Inc. (ROAD $114.35)
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Berkshire Hathaway Inc. (BRK.B $477.54)
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Vertiv Holdings LLC Class A (VRT $192.86)
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Shift4 Payments Inc. Class A (FOUR $69.10)
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Brookfield Corporation Class A Limited Voting Shares (BN $64.59)
Q: Please rate the following stocks to purchase today for a long term hold.
Q: Why is FIX down today? It's on my watch list, is it a good day to buy?
Q: I am looking at industrials that will do well in the USA in the initial Trump period. I see you often recommend TT, but it is down where it was last September, which appears to mean negative momentum, which, you usually steer away from. Do you see strong upside for TT in the next couple of years, and would it be your choice, or one of your picks for this goal? Would you pick it over FIX? Is there anything in the Deep Seek revelations that would negatively affect either holding? Are there other holdings you would recommend, and would you choose more than one, and would you wait a bit for the markets to settle? Thanks!
Q: Could I get your thoughts on why FIX dropped by over 20% today, January 27, 2025? I couldn't find any news except for the DeepSeek AI company which seemed to have put pressure on many technology stocks.
Q: Which would you anticipate to have stronger growth over the next 3-5 years...and why: JPM or FIX? Thank you.
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Amazon.com Inc. (AMZN $244.22)
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Costco Wholesale Corporation (COST $911.45)
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Alphabet Inc. (GOOG $281.82)
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Intuitive Surgical Inc. (ISRG $534.28)
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Microsoft Corporation (MSFT $517.81)
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NVIDIA Corporation (NVDA $202.49)
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Booking Holdings Inc. (BKNG $5,077.74)
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Visa Inc. (V $340.74)
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Axon Enterprise Inc. (AXON $732.23)
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Comfort Systems USA Inc. (FIX $965.58)
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Vertiv Holdings LLC Class A (VRT $192.86)
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Cellebrite DI Ltd. (CLBT $17.06)
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Nebius Group N.V. (NBIS $130.82)
Q: In a question yesterday - attached - I asked you to recommend one or two US equities and listed those already held. In response, you gave me two equities which I had listed as already owned. Clearly you have not had your morning coffee:-) Please try again.
Yesterday's Question:
VRT has now grown to 9.5% of my total portfolio. (Thank you for the recommendation!) Would you let this winner run? Or would you be inclined to trim? If trim, what one or two US equities would you purchase (any sector) with the proceeds with a similar risk/growth profile...and why? The following US/international equities are already held: GOOG, NVDA, AMZN, MSFT, V, COST, AXON, ISRG, CLBT, and NBIS. Thank you.
Answer:
In our view, as a company aproaches 10% of a portfolio, the portfolio starts to become a bet on that single name and we would typically prefer to trim the position down. For something with a similar risk profile and growth potential, we might consider NBIS and CLBT, but both are higher risk.
Yesterday's Question:
VRT has now grown to 9.5% of my total portfolio. (Thank you for the recommendation!) Would you let this winner run? Or would you be inclined to trim? If trim, what one or two US equities would you purchase (any sector) with the proceeds with a similar risk/growth profile...and why? The following US/international equities are already held: GOOG, NVDA, AMZN, MSFT, V, COST, AXON, ISRG, CLBT, and NBIS. Thank you.
Answer:
In our view, as a company aproaches 10% of a portfolio, the portfolio starts to become a bet on that single name and we would typically prefer to trim the position down. For something with a similar risk profile and growth potential, we might consider NBIS and CLBT, but both are higher risk.