Q: Haven't seen an analysis of this newish millennial based finance concern lately. They say they have a million plus clients and their advertising seems to be on target in this new financial world. How does their latest $ #'s release stand up to your fiscally grounded scrutiny??
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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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Intel Corporation (INTC $23.26)
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Microsoft Corporation (MSFT $510.75)
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JPMorgan Chase & Co. (JPM $293.04)
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Visa Inc. (V $353.00)
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Walmart Inc. (WMT $96.07)
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Technology Select Sector SPDR ETF (XLK $262.45)
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VanEck Vectors Semiconductor ETF (SMH $292.11)
Q: I realize that in a recovery as you’ve noted, individual stocks will do better than ETF’s. If I’m looking for growth over a three to five year time frame would you suggest buying both SMU and XLK Or a list of individual stocks that could include MSFT JPM V WMT INTC ? I suppose a combination of the two options is also possible. This is for US exposure and it’ll be in my TFSA account which is presently sitting in cash. I believe you’d also suggest buying back in gradually. Thoughts. Thnks
Q: Hello,
I need a little education...
What is an hybrid debenture
and
what is Adjusted EBITDAR
the alphabet soup is growing !
Thanks
CDJ
I need a little education...
What is an hybrid debenture
and
what is Adjusted EBITDAR
the alphabet soup is growing !
Thanks
CDJ
Q: Hi Peter and Team,
Hope you're all staying safe!
I believe there is a secular push for clean energy around the globe and I also want to expand the global exposure relative to Canadian markets in the portfolio so I'm thinking of adding some ETFs like ICLN to help me in both these regards. How do you feel about this for new purchases for planned long term holding.
Hope you're all staying safe!
I believe there is a secular push for clean energy around the globe and I also want to expand the global exposure relative to Canadian markets in the portfolio so I'm thinking of adding some ETFs like ICLN to help me in both these regards. How do you feel about this for new purchases for planned long term holding.
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Southwest Airlines Company (LUV $36.98)
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Air Canada Voting and Variable Voting Shares (AC $21.47)
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Norwegian Cruise Line Holdings Ltd. (NCLH $23.53)
Q: Which three robust Airlines and Cruise lines or travel ETF's internationally will be a good buy in current situation for long term investment.
Your opinions are valuable. Thank you.
Your opinions are valuable. Thank you.
Q: I would like your comments on HOM.U. With the recent drop in the price of the stock ($8.50), do you think this could be a buying opportunity? In your opinion, what would be the impacts of COVID-19 on the stock? Thank you very much.
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iShares MSCI USA Min Vol Factor ETF (USMV $93.35)
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Vanguard Balanced ETF Portfolio (VBAL $34.62)
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Vanguard FTSE All-World ex-US ETF (VEU $67.73)
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iShares Core 40/60 Moderate Allocation ETF (AOM $45.91)
Q: Hello 5i,
Interesting times. Thank you for the backup.
I am trying to help my sister rebalance her portfolio and to get it retirement ready. She does not want to watch the portfolio but is open to rebalancing a couple of times a year. She is in the 40:60 to 50:50 bond:equity range for comfort (although this market is a great test about that assertion). She will live 3 - 4 months in the us during retirement.
I’ve been playing with the above mentioned etfs, keeping in mind that USD are already held (25% of portfolio), to find the proper mix of etfs to get to a 40:60 mix of bond to equity, with an equity exposure 25:50:25 Canada, US, International.
Please feel free to suggest other etfs as necessary if the above are not appropriate. Can you suggest an appropriate etf composition/ collection to satisfy the above criteria?
Tia
Interesting times. Thank you for the backup.
I am trying to help my sister rebalance her portfolio and to get it retirement ready. She does not want to watch the portfolio but is open to rebalancing a couple of times a year. She is in the 40:60 to 50:50 bond:equity range for comfort (although this market is a great test about that assertion). She will live 3 - 4 months in the us during retirement.
I’ve been playing with the above mentioned etfs, keeping in mind that USD are already held (25% of portfolio), to find the proper mix of etfs to get to a 40:60 mix of bond to equity, with an equity exposure 25:50:25 Canada, US, International.
Please feel free to suggest other etfs as necessary if the above are not appropriate. Can you suggest an appropriate etf composition/ collection to satisfy the above criteria?
Tia
Q: With all the money printing and endless QE, what do you think will happen to inflation and the price of gold?
With QE last time it resulted only in asset price inflation... but this time it is so much bigger and in america giving money directly to the people.
What are your thoughts? Would you buy gold to hedge against it?
With QE last time it resulted only in asset price inflation... but this time it is so much bigger and in america giving money directly to the people.
What are your thoughts? Would you buy gold to hedge against it?
Q: It seems that if a company had a backlog of orders, it was an asset....however in the current mkt these backlogs are now a major liability as orders begin to evaporate, the future earnings and valuations of these types of companies gets hammered until a new batch of orders reappears which with today's environment is pushing far beyond the horizon. CAE and NFI come to mind. your thoughts please..
Q: Goldman Sachs downgraded SYK from Buy to Sell and slashed TP. I'm sure this is because of SYK pulling their guidance for Q1. A Sell seems quite radical especially in light of the fact that Citi maintained a Buy but also cut TP. Your thoughts.
Carl
Carl
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Teladoc Health Inc. (TDOC $8.48)
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Inovio Pharmaceuticals Inc. (INO $1.43)
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Zoom Communications Inc. (ZM $74.55)
Q: Hello friends,
Is it possible to run a screen on all 4 major NA markets TSX, S&P 500, DOW and NASDAQ for the top 10 companies of which stock prices have appreciated in the past (dreadful) month? Perhaps make this another blog subject? It should be interesting.
All the best.
PS Kudos to Peter for his astounding patience with everyone! It's something I'm trying hard to achieve every day, but Peter leaves me in the dust. Much to learn from his example.
Is it possible to run a screen on all 4 major NA markets TSX, S&P 500, DOW and NASDAQ for the top 10 companies of which stock prices have appreciated in the past (dreadful) month? Perhaps make this another blog subject? It should be interesting.
All the best.
PS Kudos to Peter for his astounding patience with everyone! It's something I'm trying hard to achieve every day, but Peter leaves me in the dust. Much to learn from his example.
Q: I would like to sell this to harvest a tax loss but will want to buy it back in 30 days. What should I replace it with in the interim as I find this to be a bit of hybrid. Already hold ATD.B
Appreciate your insight.
Paul F.
Appreciate your insight.
Paul F.
Q: In your reply to my question today re: the top 10 dividend stocks you would recommend you included one, MRYU, that I cannot find. A typo?
Q: With today’s PR, do you think the dividend is safer. If they were going to cut they would have done so today. I know they can still change their their mind, but what are the odds.?
Also, do you think methanol prices recover faster than oil in the next say 1 year.
Lastly would you average down ?
Thanks
Also, do you think methanol prices recover faster than oil in the next say 1 year.
Lastly would you average down ?
Thanks
Q: RE: Asked by Terence on March 30, 2020 - $1.3 million in stocks presently sitting with $800K (90 % cash).
Hi. I'm (60 & retired) in similar situation; understand everyone's different. Planning a similar strategy to what 5i suggested, but starting with a more conservative ETF (i.e. VCNS or even VCIP) for a period (i.e. 3 months), transitioning (on a strict schedule or market declines %) to VBAL once market volatility declines. I used to be a VGRO-type investor, but after -15% YTD, I've seen the light & am now a converted VBAL-type.
>> What is 5i's opinion of this transition strategy? <<
Also plan to add some Gold [PHYS] soon, and carefully/slowly add a few choice solid stocks (i.e. CSU, BAM.A, MSFT),
maintaining asset mix, over next 6 months.
>> What to do you thing of this Hybrid (ETFs + Stocks) approach? <<
>> My schedule was over 6 months; 5i is suggesting 12 months; can you explain rational of 5i's 'extend' period? <<
As always, thank you for your sound advice.
Hi. I'm (60 & retired) in similar situation; understand everyone's different. Planning a similar strategy to what 5i suggested, but starting with a more conservative ETF (i.e. VCNS or even VCIP) for a period (i.e. 3 months), transitioning (on a strict schedule or market declines %) to VBAL once market volatility declines. I used to be a VGRO-type investor, but after -15% YTD, I've seen the light & am now a converted VBAL-type.
>> What is 5i's opinion of this transition strategy? <<
Also plan to add some Gold [PHYS] soon, and carefully/slowly add a few choice solid stocks (i.e. CSU, BAM.A, MSFT),
maintaining asset mix, over next 6 months.
>> What to do you thing of this Hybrid (ETFs + Stocks) approach? <<
>> My schedule was over 6 months; 5i is suggesting 12 months; can you explain rational of 5i's 'extend' period? <<
As always, thank you for your sound advice.
Q: What's up with air boss doing well since the 23rd
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Constellation Software Inc. (CSU $4,936.00)
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Enghouse Systems Limited (ENGH $23.47)
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Kinaxis Inc. (KXS $202.02)
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Atlassian Corporation (TEAM $195.96)
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The Trade Desk Inc. (TTD $82.03)
Q: What are your growth favourite companies with no debt and/or strong balance sheets that have low PEG ratios in CAD and USD? I understand there is minimal earnings visibility going forward so best guess is appreciated using companies that you expect to survive and eventually thrive. Thanks
Q: Hello 5i
PayPal or Square for growth? Why?
Thanks
Dave
PayPal or Square for growth? Why?
Thanks
Dave
Q: For those of us who still have Covalon shares, should we hold on to see if their product does have some promise? Or should we sell into strength. At one point, back pre-Saudi problems, you seemed to be very positive on the company: I had assumed you had a feeling for management and financial strength. Now, reading between the lines, you seem to be implying it is somewhat akin to a VSE mining stock promotion. (Maybe that's not a fair statement.) When I look at the product Covalon originally had regarding anti-infection of wounds, it makes some sense that they could pivot to something that might kill a virus. I understand that it would include sufficient alcohol to do the job, so is comparable to Purell. But they claim to have made something that would last longer than a simple alcohol wipe. I hear you say it is interesting, but I'm not quite sure how to take the fact that they were asked to re-write a somewhat promotional news release. Should we sell and then return when the product is more developed, or just hold for now?
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Franco-Nevada Corporation (FNV $214.27)
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Wheaton Precious Metals Corp. (WPM $125.48)
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OR Royalties Inc. (OR $38.03)
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Sandstorm Gold Ltd. (SSL $13.33)
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Maverix Metals Inc. (MMX $6.53)
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Metalla Royalty & Streaming Ltd. (MTA $5.66)
Q: There are several more junior gold royalty streaming companies. Can you provide me with a list and suggest two or three that are worthy of some research?