Upon reviewing the quarterly results, I am surprised at the irrationality of the market.
Growth is still intact as far as I can see. The only "issue " that I can see might be the weak guidance for next quarter. However, the full year guidance has been raised.
Q: Peter and His Wonder Team
TD Webbroker has a feature called Advance Dashboard.
Before I sign up I wanted to know how useful it is for a long term investor and not a day trader. So when buying or selling a stock it would be helpful to see how many buy or sell lots and there volume were lined up...if you know what I mean. Your thoughts please! Thank you!
Q: I'm befuddled about classifying VEEV as in the HealthCare sector. But VEEV" provides industry-specific cloud-based software solutions to address the operating and regulatory challenges of life sciences companies". Seems to me, VEEV is really a software provider and for this reason, I would classify VEEV in the Technology sector. I'm curious what your take is as I want to ensure I get it right for my portfolio analysis....Thanks for you input......Tom
Q: With all the talk about banks raising their interest rates and given GSYs recent pullback would this be a good entry point and does the bank dividend hikes help or hinder GSY.
Thanks
Q: The selling in AT is relentless. It's down 90% from the top. Not even pump and dump penny stocks are hit so hard. I don't understand what went so wrong with a company that was added to the portfolio not long ago and even add after the initial drop.
Many of my growth stocks are getting hammered after barely missing on some metric (Apps, Roku, MGNI, LSPD), but I am here for the long haul. Would PENN qualify as something to hold on to or should I let it go, given its high debt?
Q: Is there a reason why TSM has been flat while other semi's like NVDA, AMD, AVGO have been on fire. I wanted to buy NVDA but missed the recent move higher and looking for another semi that will catch up to these other names. Is TSM a good candidate? Thanks!
Q: I hold this stock for a potential rebound to prepandemic levels. What effect would higher, and much higher interest rates (double digit) have on this company?
Q: I am holding a small position in TSM that is currently at a 2% loss. The share price has been trading sideways for some time. I also own SMH which has TSM as one it's top holdings. I am inclined to sell TSM and use the money for something else. I plan to keep holding SMH which has made good gains for me. Both are in the same taxable margin account. Should I keep holding TSM for the longer term, or should I let it go? I am also holding MRVL, AMD, QCOM and NVDA for the long term.
Q: No specific question, just a thank you.
I have been a member for 7 years and always look at your various resources before making any buy/hold or the more difficult sell decisions. I have always been disciplined in your suggested sector diversification and portfolio weighting. LSPD proof of portfolio weighting. Initial purchase at $35.00 and trimmed 1/3 at $150.00 (It still went up to $165.00. Oh well still slept better). After the short attack I trimmed again at $110.00 and it went back up. Today I still feel good holding a stock up 142% with a big payout on the trimming and a portfolio weighting of 3.5%. The decline was not as dramatic as it could have been. It was very hard to trim a stock on such an upward trajectory (still looking for that 10 bager). Thank you for the continued reminder of portfolio weighting and being able to sleep at night.
Roy
Q: The stock price is at 22.90 as I am writing this. Where do believe the stock price should be today now that the q3 is out. If they meet there production guidance in 2022 and oil stays between 70 to 80 where do you see the price moving to.