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TSE:HSE

Husky Energy (HSE.TO)

6.76
+0.33 (5.13%)
as of Jan 5, 2021, 9:00:00 pm Market Open.
225 watching
0
HOLD
2020 bond yielding just under 5%. Was this a mistake going this long? Canadian investors usually don't like buying bonds longer than 5 years because of fears of running out of reserves. He is comfortable with these bonds.
WATCH
Some other assets have not worked out and execution has been less than perfect. Has come down a long way and is not expensive. New CEO is coming in from India and may bring fresh eyes. If you own, wait and see what happens.
PAST TOP PICK
(A Top Pick Aug 7/09. Down 18.2%.) Liked it for the yield but this is a time when yield did not count for much.
COMMENT
Has been a little flat-footed over the last several years. Invested a lot in refining at the worst time of the cycle. Spin-off of the East Asian assets will be a catalyst but has been out there for at least 2 years. New CEO doesn't come from oil/gas background. 4.5% yield.
PAST TOP PICK
(Top Pick Aug 7/09, Down 13%) But it had a nice healthy dividend. It was cut in half but he hopes they will re-instate it. Hopes they will continue to spin off some of their offshore assets to give the stock a bit of a boost.
PAST TOP PICK
(A Top Pick June 4/09. Down 17.76%.) Still likes.
BUY
(Market Call Minute) Benefiting by increased price in heavy oil.
HOLD
Long-term and interesting company. New leadership. Would hang on to see what the new management is going to do. Not a bad holding for conservative investor.
WAIT
Execution in oil sands was appalling. Have a new president coming in. Waiting to see how he performs.
WEAK BUY
Have owned it historically. Market doesn’t know about the Asia discovery. Husky has been very well managed. As for timing it depends on when real reserves will be evaluated. Prefers Crescent Point.
PAST TOP PICK
(Top Pick Jun 5/09, Down 19.97%) Has some regrets. Promise of spinning off south China sea assets is still there.
WEAK BUY
Have a new CEO. Used to own this. Has a good yield. Concerned about whether they can increase dividend as quickly as alternatives.
DON'T BUY
New CEO with experience in the telecom industry. Probably signals the old CEO will take over the Asian assets, which will eventually be a spin out. Even if this happens, doesn't expect it will move the needle on this company.
DON'T BUY
Always a disappointing stock. Seems to have a lot of potential but always find a way to mess it up. Value trap.
DON'T BUY
On a weak side. 200 day moving average is falling and liable to find some support here. If it breaks 26 or 25 then we have some problems. This is a key level.
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