Q: I've been sitting on Pan Orient for a few years now. I've suffered the oil blues during the sector meltdown but this one has done well this year at least. They've had a couple of recent oil discoveries on their Thailand concessions and are starting a new drilling effort for gas in Indonesia. I'm thinking they will soon be increasing their profit notably. Would you hold out for higher gains or dump and move on?
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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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Bank of Nova Scotia (The) (BNS)
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Canadian National Railway Company (CNR)
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Enbridge Inc. (ENB)
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Canadian Apartment Properties Real Estate Investment Trust (CAR.UN)
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Premium Brands Holdings Corporation (PBH)
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Sienna Senior Living Inc. (SIA)
Q: HI 5i
In my grandchildren's RESP, I have about $1500 to invest, Currently have the above stocks at about equal weighting except for CNR at 26%, rest at approx. 15%. Would you recommend a couple of options for the next investment?
Regards
Kathy
In my grandchildren's RESP, I have about $1500 to invest, Currently have the above stocks at about equal weighting except for CNR at 26%, rest at approx. 15%. Would you recommend a couple of options for the next investment?
Regards
Kathy
Q: Good day, what are your thoughts (downside vs upside) of Corus Entertainment at this price range (~$5)? Given their results, selloff seems to be overdone. Is it still a takeover target? Thanks.
Q: TD Waterhouse has had this as an action list buy for many many months. Earnings are decent and Morningstar likes it. Is this a stock to take a position in or do you prefer others? Examples?
Greg
Greg
Q: Are the recent results (Oct 17/19) sufficiently on track to justify considering this company for growth? If not. what obstacles do you identify? Thank-you.
Q: Good day, 5i May I please have the names of profitable nickel producers from either Canada or the U.S. that you would consider for new buying. I would also be interested in an ETF. Also, what is your opinion of Sherritt International. I realize it is high-risk, but do you feel it has potential? Thanks in advance.
Q: Would you update Knight;s share count following their buyback announced this summer? How many shares and floating shares are now outstanding?
Once they complete the purchase, do you think they will do a financing if they can get the share price back above ten dollars to finance possible future deals with their new company or possibly continue to pursue other deals.
Finally, how much cash will they be left with once they spend the $369M?
Thank you - very excited to see this deal!
Once they complete the purchase, do you think they will do a financing if they can get the share price back above ten dollars to finance possible future deals with their new company or possibly continue to pursue other deals.
Finally, how much cash will they be left with once they spend the $369M?
Thank you - very excited to see this deal!
Q: I'm in the process of putting together a list of mid range oil and gas producers that might benefit from a change in government policy following the upcoming election. Any thoughts on my thesis, and what mid range producers might you recommend?
Q: Amidst all the doom and gloom in the energy sector POE has been a shining exception. However, it is largely ignored by analysts and investors. Could I have your opionion on POE as a potential investment?
Thank you.
Thank you.
Q: i had a small position in knight for years.
so the big deal finally happened.
my question is do you not think the stock should be a lot higher, who would sell on the news after waiting all this time. makes no sense and the deal looks great
so the big deal finally happened.
my question is do you not think the stock should be a lot higher, who would sell on the news after waiting all this time. makes no sense and the deal looks great
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Enbridge Inc. (ENB)
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Brookfield Renewable Partners L.P. (BEP.UN)
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Inter Pipeline Ltd. (IPL)
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Northview Apartment Real Estate Investment Trust Trust Units (NVU.UN)
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BMO Europe High Dividend Covered Call Hedged to CAD ETF (ZWE)
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Horizons Enhanced Income Gold Producers ETF (HEP)
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Chesswood Group Limited (CHW)
Q: I am looking to add a little to some positions the criteria is :
1. capital preservation
2. dividend safety
WIR.UN, ENB, IPL, ZWE, BEP.UN, CHW, PIF, SPB SYZ, HEP, AD, SIS, NVU.UN, HOT.UN
please order the above and if you could give some reasons that would be helpful.ThanksYossi
1. capital preservation
2. dividend safety
WIR.UN, ENB, IPL, ZWE, BEP.UN, CHW, PIF, SPB SYZ, HEP, AD, SIS, NVU.UN, HOT.UN
please order the above and if you could give some reasons that would be helpful.ThanksYossi
Q: Good morning
I know you have had a lot of questions about the the take over, and I have reviewed them.
Two questions are:
When is the deal expected to close
What happens if I hold past this date,and will I be able to trade "flutter" shares easily
Thanks
Phil
I know you have had a lot of questions about the the take over, and I have reviewed them.
Two questions are:
When is the deal expected to close
What happens if I hold past this date,and will I be able to trade "flutter" shares easily
Thanks
Phil
Q: I understand that Softbank's WeWork troubles might require it to unload some of its Guardant Health stake, but: shouldn't this be priced-in (to Guardant's share price) by now? Or are the details of Softbank's response to WeWork so all-over-the-place that nobody can guesstimate the collateral damage? Or has Guardant's decline put it in an end-of-year tax-loss vortext, such that it doesn't matter, now, what Softbank does?
Q: Hi, any advise on ACI after their announcement
Thanks
Thanks
Q: Does ALA still own 37% of ACI? If so, I would it would appear that ALA will do quite well on today's announced sale of ACI - your comments are much appreciated re: ALA exceeding current years sales target and debt position after the sale. Thank you.
Q: please give me your assessment of this ETF - risk, suitability, and likely performance compared to what Dynamic suggests might happen
Q: I own all three of these Brookfield companies BAM.A, BIP, and BEP at 1.23%, 0.86% and 1.08% weightings respectively (total 3.18%). I am a long term growth investor. From previous questions, I think it's okay to own all three correct and there is not much overlap. If I were to maintain a 4-5% weighting total in these companies, how would you weight each for maximum capital appreciation? Thanks!
Q: What is 5i's opinion of Sangoma's Q4 and fiscal 2019 results and the major acquisition just announced? With the acquisition Sangoma's recurring revenues is 45% of total sales. You it be fair that a Company of this size now trade at a sales multiple greater than 1 when a good portion of revenues are recurring?
Q: Good day 5i,
XAW is a all world ex Canada etf. However, on their website it has Canada at a 31% exposure of the overall portfolio? I'm confused, eh!
Must be a glitch?
Thanks
XAW is a all world ex Canada etf. However, on their website it has Canada at a 31% exposure of the overall portfolio? I'm confused, eh!
Must be a glitch?
Thanks
Q: starting to get our toe wet with this one. do you think it will drift lower with tax loss selling. when do they report and what is expected?