Q: Hudbay price is approaching 200-day M.A. - They have a big mine in Peru nearly ready for production - your thoughts, please.
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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: Hi guys,
I have a decent gain on BEP.UN of approximately 15%. It is touching 52 week highs and I'm trying to raise a bit of cash given that the market has done very well since the correction. With interest rates rising in 2015 (possibly) and the realization that interest rate sensitive stocks would get hurt before rates actually rise, do you think its a good idea to sell BEP.UN and move up the ranks to Brookfield Asset Management on a pullback?
Thanks for your advice,
Jason
I have a decent gain on BEP.UN of approximately 15%. It is touching 52 week highs and I'm trying to raise a bit of cash given that the market has done very well since the correction. With interest rates rising in 2015 (possibly) and the realization that interest rate sensitive stocks would get hurt before rates actually rise, do you think its a good idea to sell BEP.UN and move up the ranks to Brookfield Asset Management on a pullback?
Thanks for your advice,
Jason
Q: Peter I am in your line up for a portfolio review. On my allocation diversification I look at my assets in total which means in some accounts I am skewed heavy to one sector but on a whole I am reasonably well diversified.How do you view this?
Regards Stan
Regards Stan
Q: Do you know why the stock has been going down lately.
Thanks for your invaluable guidance.
Thanks for your invaluable guidance.
Q: Hello Peter & Co,
I own CN.
I sold TFI in July (35% profit in 1 year) when it spiked after announcing its intention to acquire CSS. I also sold WTE in July (100% profit + dividends in 4 years) because of the poor outlook for coal.
I'm thinking of re-entering the trucking business: back with TFI? (perhaps I should not have sold it) or TMA? or MTL?
Seeking your guidance.
Tony
I own CN.
I sold TFI in July (35% profit in 1 year) when it spiked after announcing its intention to acquire CSS. I also sold WTE in July (100% profit + dividends in 4 years) because of the poor outlook for coal.
I'm thinking of re-entering the trucking business: back with TFI? (perhaps I should not have sold it) or TMA? or MTL?
Seeking your guidance.
Tony
Q: Hi Peter
Sirius seems to be drifting lower every day with slowing growth. I hold a small percentage in my portfolio. Should I hold on longer, or sell for a tax loss. Thnks
Sirius seems to be drifting lower every day with slowing growth. I hold a small percentage in my portfolio. Should I hold on longer, or sell for a tax loss. Thnks
Q: I must have missed it but how do you calculate your fee for your Portfolio Review service?
Thanks and I am very impressed by your (and my)portfolio performances.
Thanks and I am very impressed by your (and my)portfolio performances.
Q: Just wondering if I wanted a portfolio review is the fee that 5i charges tax deductible?
Thanks
Dolores
Thanks
Dolores
Q: Hello Peter & Co
Some of my holdings have a negative beta (globe investor); how does one explain that?
Thanks
Tony
Some of my holdings have a negative beta (globe investor); how does one explain that?
Thanks
Tony
Q: I have owned NFI for about a year. I'm thinking of adding to my position. Your thoughts please.
Joe
Joe
Q: Couche-Tard reported this morning what do you think of their results and future earnings growth.
Q: Hello Peter,
For long term growth would you consider DHX Media or Couche Tard? Also, any idea why jean coutu was down yesterday. thanks very much
For long term growth would you consider DHX Media or Couche Tard? Also, any idea why jean coutu was down yesterday. thanks very much
Q: I have been pondering on a purchase of Onex for a couple of months now- it was brought to my attention in your Q&A - so between ocx and bam.a witch do you prefer and why- also what would be an appropriate holding period for both of these stocks. This will be my last question for 2014.
Q: Morning guys, depending on the OPEP meeting result, I plan to open 2 new positions in the oil & Gas sector. I already have a half position in Chevron and a full position in CPG. What would be your top 2 recommendations. It would be for a buy & hold strategy (3+ years) within a div growth portfolio.
Thanks!
Thanks!
Q: Thought this was an interesting article on the history of short selling. https://www.sec.gov/comments/4-627/4627-95.pdf
Q: Hi 5i, my question is regarding TSL . can you give me your opinion regarding
their last quarterly release earlier this month.they seem to be getting their "act "together. do you like what you are seeing ? what about overall share ownership by management , is it adequate ? It appears more insider buying occurred yesterday. would you agree this sector is gaining momentum ? thanx norm
their last quarterly release earlier this month.they seem to be getting their "act "together. do you like what you are seeing ? what about overall share ownership by management , is it adequate ? It appears more insider buying occurred yesterday. would you agree this sector is gaining momentum ? thanx norm
Q: Hello peter
Can you give me your thoughts on pine cliff energy for a 3 to 5 year hold. They are banking on a natural gas recovery
Kevin
Can you give me your thoughts on pine cliff energy for a 3 to 5 year hold. They are banking on a natural gas recovery
Kevin
Q: I'd like your opinion on Chartwell REIT (CSH.UN). Both it and Lesureworld (LW) have performed extremely well in the last 12 months, especially if you consider the dividends/distributions they provide and how safe/stable they should be.
I currently only own CSH.UN, and it represents about 10% of my overall portfolio. Would you maintain an overweight position or sell half and buy LW? Do you think the sector is overbought? I'm almost 35, and am ok with taking on some risk.
I currently only own CSH.UN, and it represents about 10% of my overall portfolio. Would you maintain an overweight position or sell half and buy LW? Do you think the sector is overbought? I'm almost 35, and am ok with taking on some risk.
Q: I have held STN for several years now and it was always a nice steady performer. In the last 12 months it is almost flat but still over 12% off its highs. I have noticed that WSP has also gone very quite. Is there a sector rotation going on in this space? This is a stock that i have been overweight on, (7% position)and i am thinking of reducing to a 4 or 5% position. It has been a good year for small/medium cap stocks but STN is not participating. Any comments you have would be appreciated.
Darcy
Darcy
Q: Hi,
Despite my doing quite well on stocks in the last couple of years, I've discovered I'm still trailing the s&p500 which is up 17% annually in last five years. This is what couch potato etf investing theory warms us about - statistically very unlikely to beat the market. Two questions.
1) given that we can't expect those kinds of broad gains in next two years, and that everyone is chiming 'its a stock pickers market", would you still recommend a s&p etf for a 20% position for the next few years?
2) can you recommend a couple CDn and US S&P etfs for me?
Despite my doing quite well on stocks in the last couple of years, I've discovered I'm still trailing the s&p500 which is up 17% annually in last five years. This is what couch potato etf investing theory warms us about - statistically very unlikely to beat the market. Two questions.
1) given that we can't expect those kinds of broad gains in next two years, and that everyone is chiming 'its a stock pickers market", would you still recommend a s&p etf for a 20% position for the next few years?
2) can you recommend a couple CDn and US S&P etfs for me?