Q: Recently started position in SMH. Read yesterday that , in addition to other current headwinds, 70 % of neon - a component in semi-conductor manufacturing - comes from Ukraine. And , while other industrial gas companies could eventually take up production , the question is how soon and at what cost.
How would you assess this as an additional negative impact on the sector ?
Q: Hello Peter and team,
In terms of stability, safety of dividends and overall company fundamentals (and thanks to the answer you provided to the Emera question as per Globe and Mail), would it be fair to rank from best to worse as follows: FTS, BEP.UN, H, AQN, and than EMA? Thanks very much.
Q: Are there any US total return value ETFs that you like that do not pay distributions (similar to HXS except value based) that makes sense to hold in a TFSA to save the dividend withholding tax? Can be hedged or unhedged to the Canadian dollar.
As some of my rate reset preferreds are being recalled, I have been looking for replacements with more term. One that looks attractive is MFC.PR.Q. It pays a dividend of 4.7% until June 2023. The price has dropped from $25 to under $24 in the last 5 days increasing the yield to almost 5%. I have noticed that preferreds have been volatile lately. Is there anything wrong with this one?
Q: I hold a basket of small technology companies as part of my TFSA and it includes the above names. I am thinking it would be advantageous to switch some or all of the above names into energy. In what order would you dispose of the above companies and are there any you would suggest should be kept? I do have energy holdings in my unregistered account.Thank you.
Q: Hello,
I would like to rebalance my technology exposure.
You mentioned putting in stink bids to pick up bargains.
Could you tell me what you suggest for stink bids on SHOP, LSPD, TOI and SYZ.
Q: I have been seeing a gradual price loss with some of the example preferred stocks I hold shown above.
With the continuing disaster going on in Ukraine and its inflationary impact, should I expect this to further reduce valuations for these types of investments as interest rates rise?
Q: What is the current forward PE for SHOP this year and guidance years if any provided. In a normal environment where inflation is in check and rates normalized what multiple would you put on SHOP ?
Q: I have modest positions in these two holdings and am thinking of selling the Choice prop. REIT and buying more TXF. Do you have an opinion on this move. I recognize that they are very different holdings but my reasoning is as follows.
Chp has a nice dividend but very little growth. Txf has now dropped in price to a point where the downside potential seems more limited than its upside potential. It also pays a dividend that is enhanced by the covered call strategy. I know you prefer to own tech companies directly (which I do) but have also found Txf to be a way to own a basket of tech that would be hard for me to reproduce in my own portfolio. Any thoughts or opinions would be appreciated. Thanks.
Q: DRM is my largest holding at about 7% of my portfolio. I've let it grow in no small part due to its low beta predictability. It rarely goes up or down much, even on bad market days, and never for long. It has the smoothest chart I've seen in a long time. The last couple of days, though, have changed that. Down a lot (for it) yesterday and down 4.5% today, which it has never done in the last year. Do you know of any reason for the sudden change in its predictable pattern? What do you think of the company and stock?
Q: Read all u recent comments on ITP .Have some in my TSFA. Closed today @$39.30,which is just $1.20 off T.O. price of $40.50,expected closing in May 2022.Thinking of selling soon to buy better potential in GOOG, AMZN(20-1 split) & BAM.A,& u possible suggestions. Please provide u opinion .Also when is the 20-1 split for GOOG. Txs for u usual great services & opinion
Q: What do you think of Jade's Power Trust(JPWR.UN) and their East Wind asset located in Romania? If the European Union wants to become less reliant on Russian Oil and Gas and move towards renewable sources such as this I'm assuming they'd benefit. What's your long term upside/or downside potential for this stock? What are the pros and cons of this stock, concerning the market they are in and where would they rank against their competitors, the financial ratios, insider buying/selling and your opinion on the management ? Would you consider it a buy, hold or sell at this time? Thanks