Q: Just reviewed their q3. I like the story and progress. Is it worth starting an investment as there some risks.
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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.
Q: Why does this company seem to run opposite to most other oil companies in this sector? thx james
Q: Your last market update contained the following noteworthy statement:
“For investors with a long-term horizon, small-caps and mid-caps are presenting investors with a roughly once-in-a-decade opportunity.”
Can you recommend a few US ETFs that fit into this thesis?
“For investors with a long-term horizon, small-caps and mid-caps are presenting investors with a roughly once-in-a-decade opportunity.”
Can you recommend a few US ETFs that fit into this thesis?
Q: Please recommend some good Canadian corporate bond ETF's with a bit of explanation, please
Q: What do you think of this stock? Will it hold together (sorry, couldn't resist) Thx
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Largo Inc. (LGO)
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Lundin Mining Corporation (LUN)
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Lithium Americas Corp. (LAC)
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Global X Lithium & Battery Tech ETF (LIT)
Q: I own LUN and LGO as my way to play the electric car advance. However, they are also down considerably. Would you continue to hold for this exposure, or do you have better choices. Also, would you sell these for tax loss harvesting and re buying in 30 days. If so would you suggest an alternative proxy? Perhaps an ETF?
Q: With new cars sales now being a car dealers seller’s market (as opposed to a buyer’s market where there are more new cars available than prospective buyers), are there Canadian stocks that specialize in car dealerships. Thanks … Cal
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Chevron Corporation (CVX)
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Hess Corporation (HES)
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ARC Resources Ltd. (ARX)
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Whitecap Resources Inc. (WCP)
Q: Hello Folks:
The oil and gas sector has provided good upside compared to tech and other segments.
Consequently we now have oversize exposure to this sector 20-25% weighting.
In your opinion have we seen most of the upside from this sector and perhaps should move some money elsewhere; particularly CVX, WCP, ARX and Hess? What is your opinion and also of which sectors have most upside?
Thanks for your great service!!!!
brian
The oil and gas sector has provided good upside compared to tech and other segments.
Consequently we now have oversize exposure to this sector 20-25% weighting.
In your opinion have we seen most of the upside from this sector and perhaps should move some money elsewhere; particularly CVX, WCP, ARX and Hess? What is your opinion and also of which sectors have most upside?
Thanks for your great service!!!!
brian
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Baylin Technologies Inc. (BYL)
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Enthusiast Gaming Holdings Inc. (EGLX)
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CloudMD Software & Services Inc. (DOC)
Q: Above are three dogs I dumped at a loss in the last two months. I think there could be value in each of them when markets turn. Do you agree? Is there another small cap or two that you prefer over these three?
Q: CTS seems to have settled below $5 on the news of a strategic review. CIBC comments that it will likely be some kind of private equity buyer. Do you think it is attractive to jump in below $5 here to play the acquisition? Thanks.
Q: Would you call FRU a low risk investment? Do you think it is a safe way to invest in the oil industry? What do you think of starting a position at this time?
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Salesforce Inc. (CRM)
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ServiceNow Inc. (NOW)
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Palo Alto Networks Inc. (PANW)
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Wisdom Tree Cloud Computing Fund (WCLD)
Q: Which would you buy now? Thanks
Q: Do you like BX at these prices. Does it make sense to own this with BAM or is there too much overlap?
Q: Thoughts on quarter? Do you consider STNE a close proxy? Both seemed to have bottomed, high volatility with strong potential(understanding South American risk)
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iShares NASDAQ 100 Index ETF (CAD-Hedged) (XQQ)
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iShares S&P/TSX Capped Information Technology Index ETF (XIT)
Q: Hi there, in an otherwise diversified portfolio with no technology stocks, is there Canadian dollar ETF of all or mostly US tech stocks?
Thanks,
Andrea
Thanks,
Andrea
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iShares Russell 2000 Growth ETF (IWO)
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iShares U.S. Small Cap Index ETF (CAD-Hedged) (XSU)
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iShares Russell 2000 ETF (IWM)
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iShares Russell 2000 Value ETF (IWN)
Q: Are there any Canadian based ETF’s that monitor the US based IWM, IWN, or IWO ETF’s. Thanks … Cal
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iShares Core Canadian Long Term Bond Index ETF (XLB)
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Vanguard Canadian Long-Term Bond Index ETF (VLB)
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iShares 20+ Year Treasury Bond ETF (TLT)
Q: Bond ETFs like ZAG and XBB look to be off 20% or more from highs 2 years ago. Do you see a path back to those highs? And over what period of time? The possibility of capital appreciation while collecting 3% interest has some appeal. Would interest rates actually have to decline, or could merely levelling off cause a bond ETF to rise? If you thought the stars might align say in the next 2 years, what ETF might you choose to play a capital appreciation theme (and maybe state a couple of the assumptions you are making)? Thanks,
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Parkland Corporation (PKI)
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Freehold Royalties Ltd. (FRU)
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North West Company Inc. (The) (NWC)
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Exchange Income Corporation (EIF)
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Topaz Energy Corp. (TPZ)
Q: Good Morning
I woud appreciate it if you could provide me with Credit Ratings for the following companies as I have been unable to find the information. Maybe your Bloomberg will help me.
EIF, NWC, TPZ, FRU, PKI.
Do you consider the credit Rating to be a very important metric by which one can judge the safety of a company and of it's dividend?
Thank you............ Paul W. K.
I woud appreciate it if you could provide me with Credit Ratings for the following companies as I have been unable to find the information. Maybe your Bloomberg will help me.
EIF, NWC, TPZ, FRU, PKI.
Do you consider the credit Rating to be a very important metric by which one can judge the safety of a company and of it's dividend?
Thank you............ Paul W. K.
Q: I own Algonquin and as many of your members I am down. I see this as a long-term holding and do you see it as a HOLD. Thanks.
Q: This is a question further to what has already been recently answered. I also own BIP.UN and BEP.UN. As we know, post spin-off there will be the new BAM, and BN. Which one of these two would best compliment my existing BIP.UN and BEP.UN positions as an add-on ?
Is it best to buy the current BAM.A now and sell the one unit, or does it make more sense to wait after the spin-off......or is too hard to call ?
Is it best to buy the current BAM.A now and sell the one unit, or does it make more sense to wait after the spin-off......or is too hard to call ?