Q: Is this the worst possible scenario for Concordia (CXR)...big writedown, suspended dividend, CFO resigns, lower guidance..etc. Does this constitute enough of a "change" to lead you to conclude that its time to move on?
Q: Which of the Brookfield funds do you prefer for a retirement income portfolio. I'm looking for something with reliable income and some capital growth. Is this a good time to buy any of these funds as they have had quite a run, should I wait for a pull back?
Thanks
Q: publish if you see fit: companies that have increased their dividend payments for 25+ consecutive years in a row.
3M (MMM)
Abbott Laboratories (ABT)
AbbVie (ABBV)
Aflac (AFL)
Air Products and Chemicals (APD)
Archer-Daniels-Midland (ADM)
AT&T (T)
Automatic Data Processing (ADP)
Becton, Dickinson & Company (BDX)
Brown-Forman (BFB)
Cardinal Health (CAH)
Chevron (CVX)
Chubb (CB)
Cincinnati Financial (CINF)
Cintas (CTAS)
Clorox (CLX)
Coca-Cola (KO)
Colgate-Palmolive (CL)
Consolidated Edison (ED)
CR Bard (BCR)
Dover (DOV)
Ecolab (ECL)
Emerson Electric (EMR)
Exxon Mobil (XOM)
Franklin Resources (BEN)
Genuine Parts Company (GPC)
HCP, Inc. (HCP)
Hormel Foods (HRL)
Illinois Tool Works (ITW)
Johnson & Johnson (JNJ)
Kimberly-Clark (KMB)
Leggett & Platt (LEG)
Lowe’s (LOW)
McCormick & Company (MKC)
McDonald’s (MCD)
Medtronic (MDT)
Nucor (NUE)
Pentair (PNR)
PepsiCo (PEP)
PPG Industries (PPG)
Procter & Gamble (PG)
Sherwin-Williams (SHW)
Sigma Aldrich (SIAL)
S&P Global (SPGI) (formerly McGraw Hill Financial)
Stanley Black & Decker (SWK)
Sysco Foods (SYY)
T. Rowe Price Group (TROW)
Target (TGT)
V.F. Corporation (VFC)
W.W. Grainger (GWW)
Walgreens Boots Alliance (WBA)
Wal-Mart Stores (WMT)
Un fortunately I could not find the same info for Canada... a constant problem
Q: I am up nearly 40% with A&W and it still pays over 4%! Should I consider trimming some of it or stay fully invested? If I should trim it, any recommendations on what I could do with the proceeds?
Q: In this morning's globe and Mail healthcare is touted as the best sector to be in for 2016.
My portfolio does not not have much in this sector. What securities would you recommend at this time?
Q: Could you comment on Q2 results, year over year oz produced and specifically on the CEO's optimism for future gold production. Share price seems to have stalled and I note a wee bit of insider selling? Are metrics cheap at this level. Thanks
Q: Hello Peter & Team, I hold LIF in my portfolio mainly for the 7.3% dividend it provides. Is the dividend at risk? Is there a negative outlook on the sector right now? Should I keep or sell my LIF shares? Thank you, Gervais
Q: Andrew Peller reported results last evening and today the stock is trading down. There are no analyst covering the stock. I would appreciate your evaluation of its results and your opinion for its grown potential for the next year. Thank you, Ian
Q: WPK has broken trend and appears to be headed for $40 or perhaps $35. I like the company but would prefer not to enter on a down trend. Perhaps waiting until Sept/Oct would provide a buying opportunity. Agree or disagree?
Q: Hey 5i,
Can you provide your analysis on YFI.v after the recent news and shareprice appreciation. I own shares with some "play" money in my TFSA. After basing for a long period in the 20 cent range it has essentially doubled in price to coincide with some news that validates their technology. Understanding the risk involved, do you ride out the momentum?
Seamus