Q: I noticed today a question asked about the asset allocation of goog and how this will be fixed. Thank you. Will this fix also apply to other such holdings such as Disney, currently classified as consumer cyclical, now communcation services? Thanks again
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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.
Q: I have no fixed income/bonds in my portfolio.
Please recommend your top picks in the Canadian, American and International markets. Thx.
Please recommend your top picks in the Canadian, American and International markets. Thx.
Q: Looking for recommendation on ETF mix for 50% of my RSP. 20% is BTSX and 20% in DOGS. 10% in fixed income. long term investment horizon.
your recommendations are appreciated!
your recommendations are appreciated!
Q: Good day,
Using your new portfolio tracking, I realized that the tech sector occupies too much space in my portfolio. I proceeded to some reductions, but I am still at 32% of my total portfolio, way above your recommendation of 11%.
My present tech holdings are as follows: SQ 2.71%, RPD 1.82%, AAPL 2.64%, PHO 0.93%, GOOG 2.89%, NVDA 2.52%, XLNX 2.48%, AYX 1.36%, KXS 2.27%, TEAM 2.68%, VGT 3.%, XSW 1.36%, IGV 2.29%
In your view, which holding could be reduced or eliminated (or even added) for a more solid tech sector, geared to growth, with reasonable volatility, avoiding unhelpful overlaps ?
Thank you in advance for your assistance,
Jacques
Using your new portfolio tracking, I realized that the tech sector occupies too much space in my portfolio. I proceeded to some reductions, but I am still at 32% of my total portfolio, way above your recommendation of 11%.
My present tech holdings are as follows: SQ 2.71%, RPD 1.82%, AAPL 2.64%, PHO 0.93%, GOOG 2.89%, NVDA 2.52%, XLNX 2.48%, AYX 1.36%, KXS 2.27%, TEAM 2.68%, VGT 3.%, XSW 1.36%, IGV 2.29%
In your view, which holding could be reduced or eliminated (or even added) for a more solid tech sector, geared to growth, with reasonable volatility, avoiding unhelpful overlaps ?
Thank you in advance for your assistance,
Jacques
Q: Hi there, ATZ looks like its acting well and has broken to the upside past the deal price a few months ago of 16.90. Do you consider this a bullish sign and would you endorse a position today - either half or full? Would this be your growth choice of play in Canadian retail space versus something like GOOS or CTC etc?
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Northland Power Inc. (NPI)
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Whitecap Resources Inc. (WCP)
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Tricon Residential Inc. (TCN)
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Savaria Corporation (SIS)
Q: Your thoughts on these companies at present values. Looking at 1 year hold.
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Power Financial Corporation (PWF)
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Alaris Equity Partners Income Trust (AD.UN)
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Fiera Capital Corporation Class A Subordinate Voting Shares (FSZ)
Q: Which one of these 3 companies would you choose to buy and hold? Are there any other ones in this industry that you would prefer over them? Thanks!
Q: Thank you for your timely e-mail this afternoon regarding Pensions as Fixed Income. I have always considered a DB Pension as good as a fixed income investment and when I set up my Portfolio Analytics yesterday, I was wondering how to tweak it to include my DB Pension. Your PV of an annuity idea allows me to test various values and also test it using a lower PV for a reduced % spousal survivor pension.
Thanks again and I think I have more to uncover in the use of this tool.
Paul
Thanks again and I think I have more to uncover in the use of this tool.
Paul
Q: Gentlemen,
On the PF Analytics, 5IR consider GOOG (6.2%) & FB (<1%)as IT but the new Sector is CS.
I adjusted sectors by end 2018, but PFA gives a 28% in IT and CS 0.5%
Are 5IR will make the change on sector changes?
Thank You
Best Regards
On the PF Analytics, 5IR consider GOOG (6.2%) & FB (<1%)as IT but the new Sector is CS.
I adjusted sectors by end 2018, but PFA gives a 28% in IT and CS 0.5%
Are 5IR will make the change on sector changes?
Thank You
Best Regards
Q: Hello,
Can a case be made for starting a small position on TTD or adding to a existing small position on RPD at current prices? Thanks.
Shyam
Can a case be made for starting a small position on TTD or adding to a existing small position on RPD at current prices? Thanks.
Shyam
Q: good morning, 5I
Can you recommand an ETF for each of those 3 markets:
1 China
2 Japan
3 Asia without China and Japan
Thanks
Can you recommand an ETF for each of those 3 markets:
1 China
2 Japan
3 Asia without China and Japan
Thanks
Q: Hi,
By my analysis, Telus has achieved 6% growth of stock growth over the last five years, while RCI has achieved 12% over the last five years. Why the discrepancy and which telco do you think will perform better in next five years, if any?
By my analysis, Telus has achieved 6% growth of stock growth over the last five years, while RCI has achieved 12% over the last five years. Why the discrepancy and which telco do you think will perform better in next five years, if any?
Q: I have been watching ESI as part of my speculative portfolio. The ~8% div yield is currently unsustainable based on current earnings yet their acquisition of Trinidad at 40% of its value is somewhat compelling for future appreciation. They have indicated their plan to reduce debt and clean their financial statements yet, while the sector is negative, your opinion would be appreciated. Thank you!
Q: Could I have your opinion on Nutrien? Thanks.
Q: Would you please update your views on BT:US.
I've read your last comments about the past, but what do you think the future holds?
I've read your last comments about the past, but what do you think the future holds?
Q: Your thoughts on TCW? They continue to aggressively buy back shares. Would you pick away a little here as it seems to be forming a base here.
Q: How does the Interest rates NOT increasing anymore according to U.S. and Bank of Canada affect the utility and financial sectors. How much volatility should I expect in these sectors over the remainder of 2019.
Ernie
Ernie
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Canadian Apartment Properties Real Estate Investment Trust (CAR.UN)
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Chartwell Retirement Residences (CSH.UN)
Q: Can you compare csh.un & car.un for total return over 5 yrs. and why
Thank you
Thank you
Q: To get some exposure to Europe, can you recommend 3 or 4 US/S&P 500 companies? Thanks.
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Vanguard FTSE Developed All Cap ex North America Index ETF (VIU)
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Vanguard FTSE Developed All Cap ex North America Index ETF (CAD-Hedged) (VI)
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Vanguard FTSE Developed ex North America High Dividend Yield Index ETF (VIDY)
Q: My international allocation currently resides with VI and VIU. What are the downsides of switching these two for VIDY for more yield?
Thx.
Thx.