I currently have some capital to deploy and I am looking to increase my exposure to the industrial sector. I have been watching ATA & CJT as potential candidates. What do you believe would be a good entry point for these stocks? Are there others you could recommend in the sector that would have better prospects?
I have a high risk tolerance and I am looking to hold these stocks for 5+ years.
Q: I'm down 35% on ZEM & don't know whether I should sell or hang in there. With the increasing US $ & many emerging countries with debt in US $ will those markets continue to fall. I believe that 30% or so of ZEM is China based with Alibaba & Ten cent being larger %ages. These stocks continue to be out of favour in China & are dropping in New York as well. Your opinions are always appreciated.
Dave
Q: When assessing income/dividend stocks, I would like to look at the total return of such stocks over a period of years, say 5 year. Do you know of any free web sites that provide such information? ......Thanks....Tom
Q: Hello,
ATA had two nice news releases on Oct 3, and has been on a good run since, easily outperforming the market over the same time frame. Any comments on the new contract and the latest acquisition would be appreciated.
Q: Can you compare and contrast these 2 etfs. I've always leaned towards CDZ on the basis that the research shows dvd growers perform statistically better in the long run and thus also paying the higher MER was worth doing. However it seems VDY is performing as good or better and provides a higher dvd stream. I'm thinking I should swap.
Q: It's been a while since a question has been asked on this and the stock has taken even more of a beating. With oat prices going down and everything else going on, could this be a buy now? Thoughts?
Q: It announced a some $1B acquisition and drops 4.92% to$33.42(even lower earlier).Please comment.Is it timely to add.Txs for u usual great services & advices
It was posted and later removed by portfolio manager Murray Wealth Group that Converge was telling brokers that they were going to miss estimates on the high side and that is what caused the sell off.
This seems extremely sketchy. Isn’t there a quarterly private period? If the miss to the high side could this be investigated? What is your take on this and if management does miss on the high side?
Q: good afternoon,
What would recommend buying in US small caps.
Maybe 3 stocks. I would complement with either IWO or the general small cap index.
Growth index should have more tork coming out of recession?
Q: Hello 5i,
How would you compare these two ETF's in terms of overlap in geography and sector allocation? We have both - initially VXUS for International, then adding IDV for both yield and diversification within International. We also hold ZWE, ZWG, and VEE yet we still need to increase our International by about 1.80 %. Yield is very important to us as these will be used for RRIF income in the very immediate future.
Any thoughts would be greatly appreciated, as always!!
Thanks!!
Cheers,
Mike