Q: last question on GMA was in november, it's up 20% today ,what's up?
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: Any news on TLO? 7 mil plus shares trading today. Up 40% at one point.
TKS
M
TKS
M
-
DAQO New Energy Corp. American Depositary Shares each representing five (DQ)
-
Plug Power Inc. (PLUG)
-
Enphase Energy Inc. (ENPH)
-
Harvest Clean Energy ETF (HCLN)
-
BMO Clean Energy Index ETF (ZCLN)
Q: Would you please look under the hood of these 2 new etfs and compare,contrast and state a preference with regards to holdings,fees and long term prospects. Thank you.
-
Vanguard S&P 500 Index ETF (VFV)
-
iShares Core S&P Total U.S. Stock Market ETF (ITOT)
-
iShares Core MSCI EAFE ETF (IEFA)
-
iShares Core MSCI Emerging Markets ETF (IEMG)
Q: What is your view on a core portfolio of the following ETFs: IEMG (12%), IEFA (23%), ITOT/ VFV (40%). The US ETFs would be in RRSP to minimize fees and withholding taxes while VFV would be in a TFSA. Both accounts would be supplemented with individual stocks from the 5i balanced/growth portfolios and a select few US stocks (CRWD, U, SQ, PINS, PLTR, NVDA) for Canada/growth exposure. Do you prefer Vanguard’s comparative US ETFs over the ones mentioned or are you largely indifferent? Thanks!
-
Miscellaneous (MISC)
-
Mawer Balanced Fund Series A (MAW104)
-
Mawer Emerging Markets Equity Fund Series A (MAW160)
Q: Hi Guys
How do you think Mawer International fund will perform going out 5 or 10 years, or would you choose Emerging Markets instead, Would China be a risk ?
Geographic Allocation
45.9% Europe Ex. U.K.
20.0% United Kingdom
14.2% Asia Pacific Ex. Japan
10.7% Japan
5.3% United States
3.9% Cash & Cash Equivalents
0.0% Middle East/Africa
0.0% Latin America
0.0% Canada
How do you think Mawer International fund will perform going out 5 or 10 years, or would you choose Emerging Markets instead, Would China be a risk ?
Geographic Allocation
45.9% Europe Ex. U.K.
20.0% United Kingdom
14.2% Asia Pacific Ex. Japan
10.7% Japan
5.3% United States
3.9% Cash & Cash Equivalents
0.0% Middle East/Africa
0.0% Latin America
0.0% Canada
Q: Do you think DocuSign has a lot of potential still, or do you think its shares (like zoom) skyrocketed only from Covid and the company is trading at far too high a premium? Would you enter DOCU today ?
Q: What is your understanding of the retracement to the stock from the $9.80 to now under $9.00 when principals are willing to pay more than the market gives. What is the market skeptical about ? What are the reasons you think for the lack of enthusiasm ? Is this because of a dilution effect or something?
Thank you for your guidance.
Yves
Thank you for your guidance.
Yves
Q: USA is currently in talks with nickel mining companies in Canada, trying to alter it's dependence on Chinese companies supplying periodic table elements to them. Do you see a Canadian company/ companies benefiting from nickel supply to the EV market that are current producers, or in early development of mining that can fill this need that are undervalued. Alternately is there a royalty company supplying nickel. Which company would you pick.
Q: Among these three companies, which would be your objective choice realizing that TT seems to be favored. But have the other two similar potential?
Thank you, Team
(My trading portfolio return was the highest ever last year, thanks to your excellent recommendations!)
Thank you, Team
(My trading portfolio return was the highest ever last year, thanks to your excellent recommendations!)
Q: As I approach retirement I am looking at transitioning more to ETF's (Cdn, US, Europe). Traditionally my comfort level is best when I own good quality divd paying stocks (hard asset to me).
Question: with etf's such as zwh, cdz, zwp (all owned), am I actually owning a basket of stock within those funds? Or do these funds utilize levers such as forward contracts, derivatives, indexes etc (which I have very little knowledge of) to generate their returns.
If not, are their cdn/us/Europe etfs with actual holdings that you can recommend
Question: with etf's such as zwh, cdz, zwp (all owned), am I actually owning a basket of stock within those funds? Or do these funds utilize levers such as forward contracts, derivatives, indexes etc (which I have very little knowledge of) to generate their returns.
If not, are their cdn/us/Europe etfs with actual holdings that you can recommend
-
NVIDIA Corporation (NVDA)
-
Constellation Software Inc. (CSU)
-
Kinaxis Inc. (KXS)
-
Trane Technologies plc (TT)
-
Topicus.com Inc. (TOI)
Q: Over the years CSU has been building in my TFSA and UnReg account to the point where it is too large of a single holding. I am thinking of selling enough to buy two stocks and keep an equal amount of CSU. Thoughts are buy KXS and TOI. I would very much appreciate your suggestions/thoughts on this please. Open to US ideas as well. Thanks again.
Q: Isn't Sandy about to exceed the cumulative total TFSA limit?
Q: I have never purchased an IPO of an ETF. When Ark Invest unveils its SPACE ETF in March, what strategy do you recommend ? Thanks.
Q: Assumming you still use a balanced and diversified portfolio in your tfsa. As of today what 20 stocks would you hold. Deduct as many credits as you see fit.
Q: Good morning. Could you comment on earnings. This has been a great investment over the years. Thanks for your recommendation. Chris
Q: You have stated that AT is cheap compared to its peers.
Could you list some of its peers and highlight the valuation differences.
Many thanks
Could you list some of its peers and highlight the valuation differences.
Many thanks
Q: Hi !
I have more of an investor psychology question.
Let's say I am interested in an initial investment in a company such as WELL which saw a nice move upwards recently. I find that after a company moves up I am strongly resistant to investing in it. I pretty much "won't" do it. There are many examples where the error of this mentality has been shown.
Would you be able to suggest a mental strategy so that I feel okay about investing in companies that have spiked?
Yours kindly,
David
I have more of an investor psychology question.
Let's say I am interested in an initial investment in a company such as WELL which saw a nice move upwards recently. I find that after a company moves up I am strongly resistant to investing in it. I pretty much "won't" do it. There are many examples where the error of this mentality has been shown.
Would you be able to suggest a mental strategy so that I feel okay about investing in companies that have spiked?
Yours kindly,
David
Q: Would appreciate your view and outlook for Colgate Palmolive compared to Proctor and Gamble
Q: I would like your opinion on $KITS for a speculative buy.
Thanks Valter
Thanks Valter
Q: Any reason what has caused OGI to pop this week, apart from the "Biden" effect?
And what has caused VJET to move up?
Please take two question credits.
Thanks!
And what has caused VJET to move up?
Please take two question credits.
Thanks!