Q: Hi Peter and company
I see that CHE.UN had a huge negative earnings surprise. Obviously it was a surprise to you guys as well. Time to sell...or add to our position? Thanks as always.
Joanne
Just reported... EBITDA and gross profit seem to be improving and they are reducing debt. Has the turnaround started and would you agree that things are improving slowly but surely? There are a lot of shorts in this stock, if things are improving they will need to cover given the yield!?
Q: Hi Team : a general question on takeovers using PFE as an example. Is it fair to assume the buyer's stock price will weaken while the buyout rises? Assuming the buyer (PFE) has to raise equity/debt and the price of the target keeps rising,PFE share price will likely stagnate/fall during this process?
Q: It's my understanding that the yields on Greek, Spanish and Irish debt are currently trading at very thin spreads to US teasuries. My instinct is that this represents an overall high level of risk complanency in the markets in general and that we are likely due for some weakness ahead as things normalize. I'd love to hear your thoughts on this.
Q: hi folks,could u please comment Q results for dragonwave dwi/t,missed again revenue/earnings.hold small position from $2,going forward would u continue to hold or wave white flag and sell,thx
Q: Could I get an update on NOV (NovX21, formerly Pro-Or) I've been watching it for some time and it certainly has a good idea and aparently they have proven the technology but I don't see where they are going to get the money from. Is it a high risk buy down at this low price.
Thanks Doug
Q: Hello and thank you for your work. There was an interesting guest on BNN talking about his bond fund and long/short strategies. Being quite hopeless with bonds, but thinking about some for a RRIF account. Is the fund ECF.UN a good fit.
Thanks D.V.
Q: It is becoming more common to use enterprise value/EBITA to determine if a stock is in a buying range. How does this compare with price/earnings and price/cashflow for the same company.
Q: Hi Team..Can you tell me what the yield is on XFR (the Canadian alternative for FLOT) I do not have a U.S. account which leads me to my second question. Is it still a good idea (with the US $ being so high) to buy some US $ and put FLOT in a US account? I own CDZ and most of your income and growth portfolios but no bonds! Thanks so much for all that you do!
Can I get your take on QHR's 2014Q1 results? They look decent to me, although the RCM business appears to be struggling and there was a loss in operating cash flow. Also, Telus - a much bigger company - appears to be QHR's main competitor in the EMR space. Is this something to be concerned about? QHR's revenue continues to grow and (at least in my view) has a strong balance sheet, so I have not been too worried, but would appreciate your input.
Q: How significant is Magna's (MG) exposure to Russia? Is this a significant concern should the temperature continue to rise between Canada and Russia over the situation in Ukraine?
Q: iShares Oil Sands Sector Common (CLO.TO) -Toronto - Easy to replicate and save the fees. - See more at: https://www.5iresearch.ca/questions/symbol/clo#sthash.tMQxSzse.dpuf
Can you elaborate? My discount broker charges no commission for this one - I guess that's why the fee is so high. With pickings from
iShares Oil Sands Sector Common (CLO.TO) -Toronto
Vanguard Energy ETF (VDE) -NYSEArca
... do you think one could build a decent energy portfolio at lower cost? What metrics are most important for researching these cos?