Q: I am under water on AEG. Any good reason not to sell even though in a RIF? I am thinking of adding the proceeds to NTR holding. I know, totally different businesses but NTR has recently declined. Any thoughts?
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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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Broadcom Inc. (AVGO $300.68)
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Cisco Systems Inc. (CSCO $79.92)
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NVIDIA Corporation (NVDA $167.52)
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AbbVie Inc. (ABBV $209.40)
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AT&T Inc. (T $29.10)
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CCL Industries Inc. Unlimited Class B Non-Voting Shares (CCL.B $86.40)
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Capital Power Corporation (CPX $65.55)
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Labrador Iron Ore Royalty Corporation (LIF $28.71)
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goeasy Ltd. (GSY $36.42)
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Exchange Income Corporation (EIF $102.26)
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Enbridge Inc (ENB $54.58)
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Algonquin Power & Utilities Corp. (AQN $6.15)
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Mistras Group Inc (MG $14.59)
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Restaurant Brands International Inc. (QSR $71.42)
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Redfin Corporation (RDFN)
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Thomson Reuters Corp (TRI $89.43)
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Ultra Clean Holdings Inc. (UCTT $58.87)
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Bank of Nova Scotia (The) (BNS $67.71)
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Nutrien Ltd. (NTR $75.65)
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Pinterest Inc. Class A (PINS $17.76)
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CrowdStrike Holdings Inc. (CRWD $369.58)
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Celsius Holdings Inc. (CELH $33.94)
Q: This is my margin portfolio, all position weightings are between 3%-5%.
The projected yield is 3.31% with a 3-5 year hold.
I realize 24 positions is a bit overkill but I can't seem to choose which to remove, which would you recommend?
What positions would you add to the portfolio?
Take as many credits as needed.
Thanks for the great service
The projected yield is 3.31% with a 3-5 year hold.
I realize 24 positions is a bit overkill but I can't seem to choose which to remove, which would you recommend?
What positions would you add to the portfolio?
Take as many credits as needed.
Thanks for the great service
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CF Industries Holdings Inc. (CF $136.45)
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Mosaic Company (The) (MOS $25.00)
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Franco-Nevada Corporation (FNV $324.25)
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Kinross Gold Corporation (K $39.81)
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Nutrien Ltd. (NTR $105.04)
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Nutrien Ltd. (NTR $75.65)
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Earth Alive Clean Technologies Inc (EAC $0.07)
Q: In my previous question about Earth Alive Clean Technology you mentioned the % of insider and institutional holding, wouldn’t you view that as a positive , especially for such a small company? The market for the sectors they’re in is very large, with the above companies I’ve referenced, if Earth Alive Clean can grab an increase in market share with their new products it could transformational for them , no?
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CCL Industries Inc. Unlimited Class B Non-Voting Shares (CCL.B $86.40)
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Lundin Mining Corporation (LUN $32.04)
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iShares S&P/TSX Global Gold Index ETF (XGD $53.12)
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Ivanhoe Mines Ltd. (IVN $11.13)
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Neo Performance Materials Inc. (NEO $22.46)
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Ero Copper Corp. (ERO $25.05)
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Kirkland Lake Gold Ltd. (KL $38.92)
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Reliance Inc. (RS $299.59)
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Nutrien Ltd. (NTR $75.65)
Q: My Materials sector needs to be increased to about 10% of portfolio - currently I have only 1.3% - all held in KL (underwater 15%).
I note you have ccl.b in the Balanced Portfolio but it does not seem to be in your recent recommendations for Materials ? ?
At the moment my shopping list looks like this:
LUN, IVN, ERO, NEO, NTR, RS, FCX, XGD ( Sell KL ??) , CCL.b ??
Would appreciate your assessment and comments and suggestions for alternatives. Dividend not necessary.
Use whatever number of question credits req'd. Thanks as always.
I note you have ccl.b in the Balanced Portfolio but it does not seem to be in your recent recommendations for Materials ? ?
At the moment my shopping list looks like this:
LUN, IVN, ERO, NEO, NTR, RS, FCX, XGD ( Sell KL ??) , CCL.b ??
Would appreciate your assessment and comments and suggestions for alternatives. Dividend not necessary.
Use whatever number of question credits req'd. Thanks as always.
Q: I recently purchased NTR:US within my USA TFSA. With a 15% withholding tax applicable, I thought it still remained beneficial though with accruing the USD within the account.
Not sure this is the most beneficial strategy long term, and I am thinking of transferring the security to CAD TFSA instead. What you recommend?
Not sure this is the most beneficial strategy long term, and I am thinking of transferring the security to CAD TFSA instead. What you recommend?
Q: I am overweight in the Utilities sector and underweight in Materials. I am considering selling some BEPC and using that cash to add to Materials. Is NTR recognized as belonging to Materials in the Portfolio Analytics ? What other suggestions would you have for Materials stocks at this time?
By the way I have found the Portfolio Analytics a great tool for following and planning my investments -Thank you for your great services .
By the way I have found the Portfolio Analytics a great tool for following and planning my investments -Thank you for your great services .
Q: Since it is my largest losing position eligible for a tax loss sale, contemplating a tax loss sale of NTR but wondering what I could use as a proxy. Suggestions?