Q: Any reasons why these two stocks are going down. Would you get out of these or stay put. And if you got out what would you buy instead in the same sectors
Q: Hi, Could you please share your comments on today's debut of this much awaited IPO. The issue was oversubscribed 7X, but looks like allotees were in a rush to cash in. I read somewhere that 85% of the issue was allocated to institutions. Do you think, today's trading was mostly retail investors ? What is your outlook of the company and the stock, going forward ? Did I see somewhere that co. will release it's 1st quarterly results on Monday May 15? If so, you have any insight ? I did start a position today and would appreciate your thoughts. Thanks
Q: I recently subscribed to 5i, the ETF update and the Canadian Money Saver Magazine. I have been learning lots and you guys do great work!
I just finished university and am looking towards building my first portfolio. I have been comparing the various models portfolios from 5iResearch, the Canadian Money Saver Magazine Model ETF portfolio, and Couch Potato. I have an understanding about the goals and strategy behind all the model portfolios except for the CMS Model ETF portfolio. Similar to how you break down the model portfolios on 5i, can you provide an overview of what the CMS model ETF portfolio investment strategy, investment suitability/risk tolerance, and targeted annualized returns are.
Thanks for the great service you provide! Look forward to being a long time member!
Q: I am tempted to add to my position in Sangoma Technologie prior to Company reporting their quarterly results later this month because I think the market will start taking more notice of this Company given that its revenue run rate is climbing over $25 million and its EBITDA margins (10.5% last quarter) are now growing too. Based on the Company's new guidance for Fiscal 2018 the stock trades less than 1 times sales with profits on the rise and a good balance sheet. What are your thoughts and is this Company on the cusp to be discovered by more investors since the new management re positioned the Company over the last several years?
Q: You have indicated a recent buying preference of BIP over BE. I notice that the analysts predict a 10% price reduction for BIP in 2017 but stable for BEP. Does this affect your preference?