Q: Hi All at 5i!!! DND has always been a confusing stock for me. I held it for a while and it got a vast amount of negative sentiment from the market , so I sold it. I have read a lot of conflicting opinions on it. So here I am seeking out your opinion. The straight goods....is it a good, stable stock to hold, well positioned for good future growth? Or are it’s prospects nebulous , dependent on (metaphorically speaking ) many stars aligning??? Looking forward to your reply, Cheers, Tamara
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Investment Q&A
Not investment advice or solicitation to buy/sell securities. Do your own due diligence and/or consult an advisor.
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Exxon Mobil Corporation (XOM $107.03)
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Tourmaline Oil Corp. (TOU $57.82)
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Stella-Jones Inc. (SJ $79.95)
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Whitecap Resources Inc. (WCP $10.21)
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Tricon Residential Inc. (TCN $15.34)
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Global X S&P 500 Index Corporate Class ETF (HXS $89.57)
Q: Hi Peter, Ryan, and Team,
Two questions; please deduct credits accordingly.
Question 1 - I plan to sell one ETF (HXS) and two stocks (SJ & TCN) for a tax loss and then buy them back after 30 days. Please suggest proxies for each that I could buy as a replacement for the 30 days. These are held in a margin account.
Question 2 - I own WCP in my RRIF, and find that its volatility is harder for me to handle than I had thought. (Its beta is 3.26). Now that I'm in the black with it, I was thinking of two alternatives; selling WCP and adding to an existing profitable position in TOU (beta = 1.62), or starting a new position in XOM (beta = 1.07). XOM would increase my US exposure which needs to be increased, according to Portfolio Analytics. What's your take on this strategy?
Alternative ideas for each question would be welcome, and as always, thanks for your insight.
Two questions; please deduct credits accordingly.
Question 1 - I plan to sell one ETF (HXS) and two stocks (SJ & TCN) for a tax loss and then buy them back after 30 days. Please suggest proxies for each that I could buy as a replacement for the 30 days. These are held in a margin account.
Question 2 - I own WCP in my RRIF, and find that its volatility is harder for me to handle than I had thought. (Its beta is 3.26). Now that I'm in the black with it, I was thinking of two alternatives; selling WCP and adding to an existing profitable position in TOU (beta = 1.62), or starting a new position in XOM (beta = 1.07). XOM would increase my US exposure which needs to be increased, according to Portfolio Analytics. What's your take on this strategy?
Alternative ideas for each question would be welcome, and as always, thanks for your insight.
Q: Hello, What would be your top 3 picks for Consumer Cyclical and Consumer Staples?
Thanks, Lavern
Thanks, Lavern
Q: I own 3000 shares of WELL at $7.56 and have been thinking of averaging down. Do you believe WELL at current $3.69, is a buy for this purpose?
Q: Two questions on NPK: firstly what is your view of today's press release regarding it's planned domicile move to Singapore? Secondly, I have substantial capital gains in this stock since I bought it several years ago and currently hold it in a non-registered account. What are the tax implications, other than taxable capital gains, if I sell it and rebuy a portion of it in my tax-sheltered accounts within 30 days? Geoff
Q: Would appreciate your opinion of Verde's announcement of first distribution and restructuring.
Q: Thoughts on this stock? Thanks...
Q: What do you make of the activist investor's announcement this morning?
Q: Peter and Co, Are there one or two lithium ETFs that you would recommend?
With appreciation,
Ed
With appreciation,
Ed
Q: Would appreciate your view of Erik Nuttall's latest article in the National Post (5/17).
Also - your favorite Canadian Oil and Gas stocks.
Thanks
Also - your favorite Canadian Oil and Gas stocks.
Thanks
Q: My partner is invested in the Mawer International Equity Fund which is down 17.5% YTD. It holds 70% of its portfolio in European companies. Should she divest now as it appears the European economy could get much worse.
Q: PINS Why it is dropping this much today?
Thanks,
Milan
Thanks,
Milan
Q: hello 5i:
can you discuss PANW's latest earnings report and outlook?
thanks
Paul L
can you discuss PANW's latest earnings report and outlook?
thanks
Paul L
Q: Could I have your updated opinion please thank you
Q: Does the latest news release about false reporting on revenue and licensing fees change your opinion on the stock.
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Medical Properties Trust Inc. (MPW $4.14)
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Community Healthcare Trust Incorporated (CHCT $15.55)
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LTC Properties Inc. (LTC $35.22)
Q: Discovered this Long Term Care Properties company in the US with monthly dividends of 6%. Do you think this is a stock worth holding to have exposure to US health care? And is dividend sustainable as it seems to have a large payout from my novice analysis. Appreciate your expert analysis very much.
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Costco Wholesale Corporation (COST $945.25)
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AbbVie Inc. (ABBV $197.74)
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Home Depot Inc. (The) (HD $386.83)
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JPMorgan Chase & Co. (JPM $290.96)
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3M Company (MMM $150.45)
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Realty Income Corporation (O $57.40)
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Prologis Inc. (PLD $107.52)
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Public Storage (PSA $282.25)
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Verizon Communications Inc. (VZ $42.91)
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Williams Companies Inc. (The) (WMB $58.06)
Q: If you were going to have a USD Income Portfolio, what would your top 10 equities and how would you rank them. How important is annual dividend increases?
Q: The last question on this stock was in Nov. 2019. Are your comments now in line with what you thought then?
Thanks, Lesley
Thanks, Lesley
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WSP Global Inc. (WSP $284.61)
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TFI International Inc. (TFII $123.15)
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Aritzia Inc. Subordinate Voting Shares (ATZ $74.21)
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Topicus.com Inc. (TOI $184.76)
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Nuvei Corporation (NVEI)
Q: I plan to sell these stocks for a tax loss and then buy them back after 30 days. Could you suggest a proxy stock that I could buy as a replacement for the 30 days
Q: Thoughts regarding this stock? Thanks...