Q: Hello 5i team,
I have 40 holdings in my portfolio and I'm attempting to classify them between BE, Growth and Income; to that end:
1) BNS is in both BE and Income; should I presume the same for TD and SLF?
2) ENB is in both BE and Income; should I presume the same for KEY?
3) BEP.UN is in Income; should I presume the same for BIP.UN and AQN?
4) WSP is in both BE and Income; but since STN has a lower yield, I would classify it in BE
5) Where would you classify CIGI, CNR, DSG, ENGH, FSV, GIB.A and TCN?
Feel free to deduct any number of question credits; and thanks a million
Antoine
I have 40 holdings in my portfolio and I'm attempting to classify them between BE, Growth and Income; to that end:
1) BNS is in both BE and Income; should I presume the same for TD and SLF?
2) ENB is in both BE and Income; should I presume the same for KEY?
3) BEP.UN is in Income; should I presume the same for BIP.UN and AQN?
4) WSP is in both BE and Income; but since STN has a lower yield, I would classify it in BE
5) Where would you classify CIGI, CNR, DSG, ENGH, FSV, GIB.A and TCN?
Feel free to deduct any number of question credits; and thanks a million
Antoine