Q: Hi group in light of the new export rules for LNG exports in the US would you sell ARC (750 shares) and replace it with TOU?(in theory TOU should have much better upside. Your thoughts please
Also should I trim LMN + TOI they are both sitting around 10 % of my portfolio...I recently trimmed BYD with the hope that on a pullback i can buy back all 3...What would be good levels to buy back in ...Thanks for your help
Looking for entry to Industrials, Materials, Health, Financials Consumer staples, Tech, Communications what's your top 2 picks in each sector. Could you please provide short explanation on why you are picking them
I have both companies a while, costco (6% of portfolio) and atd.b (2.5% of portfolio). Inside "your" balance portfolio would you recommend approximately 4% in both??
Q: CIBC analysts have suggested one of the reasons they downgraded this name today was potential concern of more and lower restrictions on the maximum interest that company’s like Goeasy can charge.From 35% to 30% for example.How likely do you think this potential/fear could be?
Q: I am having trouble deciding whether to buy Costco or ATD.A. Which in your opinion is the better of the two and why or would you recommend a half position in each? thanks in advance for your insight
Q: Just a comment - thanks! Most of my questions have usually been about when something for me has gone wrong…well this one seems to be working. Honestly, if it weren’t for your positive comments, not only may I never have bought it but I would’ve sold as soon as I had a small profit. The same is true for nvda - another awesome name that you’ve stuck with for years even when things looked downright gloomy! Thanks be to 5i.
Q: I m wondering if 5iii could moderate these wordy & "extremely wasteful reads" of the above ! Perhaps a cap of 250 characters, a triple credit 5iii redemption OR the member could simply just attach a weblink of these useless institutional essays....... complete waste of memory cache, screen space and the moderators time to review !
Q: Softchoice has been somewhat rangebound over the past year. I bought near the bottom of that range in mid-December with the expectation of selling. Now I'm wondering if I should hold. The P/E is modest and the div is not bad but I don't know much about what is happening under the hood. Best guess - hold or sell?
Q: It has continued to drop in price since the last question in late Novenmber. Do you think that was just negative momentum or is there something wrong here?
Q: hey guys happy new year i was wondering if i could get some info on the transactions today td was not really very clear and if you feel it is a positive for them thanks as always
Q: Thinking about getting some exposure to KMI. How would you compare Kinder Morgan with Enbridge or Pembina Pipeline in term of risk and capital appreciation potential on a 3 to 5 years period?
It seems during the last year that the Mag7 have really had their time in the sun. I am wondering if there might be some rotation out of these names. Wondering where you thought the best returns would be over the next few years in a S&P 500 type ETF:
1) XSP - iShares Core S&P 500 Index ETF
2) An Equal Weight S&P 500 Index like Invesco S&P 500 Equal Weight Index ETF, 3) or or something like the Vanguard Dividend Appreciation ETF.
Q: JPM has had a decent run but I'm thinking of swapping it for Mastercard. Can I get your thoughts please?
Palo Alto has also been terrific, but I'm trying to add more AI into my portfolio. I'd like to sell it and find a new name, CDN or US. I own MSFT, AAPL, Salesforce, GOOG, Meta, NVDA, Constellation, Shopify and Kinaxis. I was thinking of Taiwan Semi, AMD or Broadcom, but can I get your thoughts please?
Q: Portfolio Analytics indicates that, across all accounts, we are significantly underweight in the Basic Materials sector. The stocks and ETF noted above are the only holdings in this sector. (CGL.C is quite a small holding.)
Please suggest at least five additional Canadian stocks in this sector to improve diversification, include a reasonable entry point, and rank them in order of what to purchase first.
Q: Hello Peter and 5i team,
My TFSA contains the aforementioned stocks in roughly even percentages except for nominal investments in Park Lawn and DRX. I would like to make my annual contribution to one or some of these companies and would like to know what your order of preference would be for buys/adds at this time. Please also include Celestica in your considerations.
Also, are there any companies in this list that you would consider undervalued at this time?
Thank you.
Q: In some answers, you have referred to some lending companies being exposed to a "rate risk". I am not clear what that is / when it will impact a lending company. More specific to GSY....is it exposed to a rate risk? How will anticipated falling rates affect it? I know that new highs ( or at lest here a recent one) do not concern you but given its run up in recent months, are its valuation metrics still looking favourable?
Thanks for your excellent service.
Q: Can you provide your latest opinion on this company as well as analysis of their balance sheet. debt, cash flow, pe, expected growth,risks etc?
Technically it is breaking out.
Looking at taking a small position in a TFSA .