Q: I have some spare cash. Risk taker. In light of the recent pullback, would you suggest some growth securities preferably outside of Canada and USA for TFSA? The latter has to do with issues with US estate taxes for holding individual US stocks in personal accounts. ZQQ would be OK as it is Canadian domiciled but invested in USA situs property. Thanks.
Q: 12 years of Tse pain
On Oct 31/07 the Tse closed at 14,625, Cnd dollar was at par to U.S and Wti was $94.51 Dow Jones was 13,930 and 10 yr treasuries were 4.47%
I realize that Tse was strong in resources and weak in Tech ,however there must have been a huge flow of funds to foreign markets
In 2007 was there a restriction on foreign content in RRSPs and did Etfs exist at that time?
Do you think that Tse will soon have its place in the sun as U.S. investors can now buy at a 30% discount?
Is Dec 27 the last day for tax loss selling?
Thank you
Q: The US & Can markets are up nicely today,but BCE dropped 1.2 % whereas its 3 main peers(T,RCI.B & SJR.B) were flat .It reports tomorrow morning.Any reason(s).Is it time to start a position in face of rising rates.Txs for u usual great services & views
Q: Can you let me know what you think about OTEX quarterly earnings and as a long-term holding. Looks like low on revenue but a beat on EBITDA and EPS. Plus a $310M cash acquisition. Aftermarket down over 7% (of course)... is this an over-reaction in your opinion?
Q: Good morning folks. With some "fun money"..perhaps half a percent...would a swing trade within my TFSA be a good bet? Now or after next weeks report? Much thanks
Q: I follow your balanced equity portfolio. Should I sell SJ and buy TFI. Also do you see wcp bouncing back if oil goes up and there are more pipelines?
Q: Having read todays word from you on DOL, would you be buying at this time. Also would one be adding to BNS. Presently have a partial position but wondering about the next few years and loan defaults. Regards
Q: Please u take on latest Q released after market close,& going forward especially in light of approval of LNG in B.C. Is this a good time to start a position?Thanks for u great services & views
Q: Estimated EPS & Revenue please Reports on Nov 9..Missed majority of estimated EPS since Q1.Opened 5 weed stores in Nov.reportedly demand outstripped supply.Your comment please.Txs for u usual great services & views
Q: You've recently mentioned the potential effect of activities of money managers on this market, specifically buying and selling to make targets to ensure their best bonus and keeping up with their competitors.
When does this sort of "bonus securing" activity occur-now near the end of the year? Every quarter?
I suppose I'm hoping to know when large institutional buying and selling are at their highest and lowest, over the course of a year.
Q: Sis had turned south since its announcement of 17% increase in Div.plus guidance for 2018 & 2019, & H $20.91 on Sep 20. Releasing Q results on Nov14 .Note that it missed estimated EPS 4 of last 6 Qs.Will it meets estimated EPS & Rev @ next report? Txs for u usual great services & views
Q: My question relates to the latest type of prefs , the minimum rate test preferred. As a broker who has been retired some time.i am knowable about the rise and fall of prefs as they relate to rising or falling interest rates. But I struggle with understanding the minimum rate reset prefs. For example ECN.PR.A pays a 6.50 % div based on issue price. Given the current 5 yr rate the reset would be above the minimum rate. No matter what you would get 6.5%.
I know that other factors influence the trading price eg quality and the market itself etc.
Is this type of investment , all other things being equal that you would buy for the short as well as long term. I’m a very senior senior.