Q: Where would you recommend I place $30k in a TFSA today (5 year hold). Only other holdings in this TFSA are $12k in iShares MSCI ETF (XAW) and $3k in Kelt Exploration (KEL).
Where would you recommend I place $60 in an RSP today (5 year hold).
Only other holdings in this RSP are $40k BMO Dividend ETF (ZDV), $10K NorthWest Co (NWC), and $15k Richards Packaging (RPI.UN).
Given the size of the portfolios, probably one or several ETF's, instead of more individual stocks? And probably better non-Canadian exposure? Anything else to be sold here before repositioning?
I guess that's 3 or more questions, please charge accordingly. Thanks.
Q: what would be the maximum weight that CAE should be owned in a balanced portfolio? If at 7% would you trim this back to 5% or even less then this?
Thanks
Q: Could you give me any info you can on this company in respect to earnings ,management,debt,projects any upcoming catalysts and would you consider this a good entry point for a 2-4 year hold....thanks
Q: I plan to reduce my Financial Services exposure. I would like your opinion on whether I should sell BNS or TD or half of each (all things being equal, my preference would be to reduce the number of holdings by one).
Q: I have shares in these two companies in my TFSA. I have sold another position and would like to add the proceeds to one of these two. Which one do you believe has the greatest growth potential over a 5 year period? Thanks
Q: Trump has put Huawei on the restricted list. What stock(s) in the portfolios will be negatively impacted?(Pho?) Txs for u usual great services & views
Q: Please comment on the impact of recent US China tariff & Huawei development on these stocks. Which will suffer long term adverse effect ? Most come down a lot on May 20. Thanks a lot.
Q: Please suggest 10 consumer cyclical stocks with good growth prospects (US or Canada.) Are cyclical stocks the same as consumer discretionary stocks?
Merci
Ronald
Q: I bought qcom just after the settlement. @80.
How badly affected will it be with the huawai
Affair. Would u buy on this dip or perhaps consider selling. I am not sure how badly the revenue and earnings will be affected. Do u think this will disappear if trump & China come to an agreement or is 5G and the players going to be ongoing even with tariff wars stop..thank u for your insight.
Q: Fox deal resulted in a astounding initial 26% jump,then retreated after Q.It cannot gain any traction.Is there any reason to start a position or there are better plays? Thanks for u usual great services & views.
Would you please compare and contrast these two SAAS companies. I appreciate it if you can comment on their moat and and market as well as competition, quality of business, current valuation, momentum, and financial strength.
I know you like them both, but I have money only for one and I am wondering which one has more torque and a brighter future, for it is current growth is going to only accelerate further.
Thank you very much indeed for being the referee here.
Q: 10:15 AM 5/16/2019
1. Could you please provide the numbers for, and compare and comment on : debt levels, financial leverage, debt to cashflow, and payout ratios for EMA, FTS, AQN, BIP.UN, BEP.UN.
2. You seem to always rate EMA at the bottom of the list [Why?] but I believe EMA has sold off some significant assets [Emera Maine and others?, more to come?] so debt levels should be lower, so is it a secure buy now for long-term dividend income?
3. I worry that BIP and BEP both have extremely high payout ratios. You have suggested that a total of 15% of one's portfolio in these two would be acceptable. Are you still of that opinion?
Thank you........ Paul K
Q: The market seems to be discounting the likelihood that ACs $13 offer will be accepted or allowed. Some other Analysts have stated they think $13 is on the low end and that higher offers from other parties might still materialize. Would you be a buyer under $12 based on the assumption $13 will probably be the lowest offer accepted? Other thoughts on how to play this?
Q: EOLS has fallen a lot on the news that one of their large investors is selling 4 million shares to ML. Does this drop make sense to you. The stock was 29 dollars a few weeks ago and now less than 17 dollars. What do you think? Do you think it will recover and should I hold my position or sell.