What do you feel is the best company for natural gas? Specifically, I am looking for a company with low debt, a dividend and a strong track history (good management).
I currently own a very small natural gas play (CQE) that is down 66%. I am seeking to move my remaining money into a company that will pay me to wait and provide an opportunity down the road to recoup my loss.
Q: I recently asked a question asking for guidance regarding the need to buy an ETF that would give me exposure to the world outside of the United States. You suggested VXUS but it has to be purchased in U.S. dollars. Is there a similar product I can buy in Can. $?
Also, if I were to buy VXUS, what kind of exposure would I be getting? i.e. how much exposure to the different areas of the world? Asia? Europe? Other areas?
Again, how exceptional I can access your guidance this way. Many thanks.
Q: What are the benefits and risks of investing in CPD in the current rising interest rate environment coupled with high stock valuations? I am seeking yield and want to compare CPD with the typical equity income etfs regarding safety of capital. Thank you 5i.
Q: I recently purchased Sunniva Inc. shares and was thinking of purchasing more. Would you have an opinion on the future of this company and would it be a safe investment?
Q: A Seeking Alpha article yesterday summarised KWH.UN as follows:
-Consistently overpays for customer relationships.
-Value destroying acquisitions are financed through dilutive and costly equity issuances.
-Continues to accelerate amortization of intangible assets, as they fail fair value.
What are your thoughts?
Q: A. With the expected further increases in interest rates in 2018.
Should I anticipate pullback from certain sectors? your opinion please.
if so which sectors, DOES 5i recommend adjusting asset allocation in response to interest rates?
B. I have been a student of the DIY investing for the last 10 years but have no experience with a potential era of interest rate rise and don't know what to expect.
I struggle with this, probably too much media coverage, I would prefer to be a buy and hold, all of my equities are blue chip dividend companies. (but it is hard to see portfolio drop on no news other than interest rate rise.) I believe I am looking for reassurance in this last comment:)
Q: I have kel & bir in my rif. Kel is up 24% and bir is down 30%. should I sell both and take the small $ amount and invest in a zinc play. From what I hear it should do well thru 2018, ah the crystal ball theory! Anyway your thoughts please and if so with only approx $12000. from the proceeds (if you recommend selling) what would you suggest? My thanks always, you are such a great service, we are fortunate to have you all. Maureen
Q: I have visited the Pimco website but am still unable to get a clear understanding of the holdings of the Pimco High Income Fund ( PHK:US). In your opinion, in general, would this fund be suitable for a retired senior? The income is high but does it come at a price to risk?
Thank you for considering my question.
Q: In reviewing 5i growth portfolio, I noticed XTC, PLI and RRX are down somewhat from the initial start price. Would you still recommend these companies and what are your general thoughts on their growth prospects? I am thinking of adding them to my RSP account with a 3-5 year time horizon.
Q: I am looking for a diversified or industrial REIT with good yield and a history/policy of increasing dividends. Brookfield Properties has caught my eye. What is your opinion? Do you have any other suggestions or preferences for my objectives?
Q: Given the recent event at Teck (Jan 19th) with the possible effect of slowing production, would you suggest holding or selling a portion of the stock. I’m up about 30% at this point. It is a small portion of my portfolio.