Explore every episode of the podcast Long Term Investing - With Baskin Wealth Management
| Title | Pub. Date | Duration | |
|---|---|---|---|
| What's next for Canadian banks? | 16 Jun 2026 | 00:29:26 | |
Recorded on: June 10, 2026 This week, Barry and Ernest review the current state of the stock markets, including the mega IPO of SpaceX before discussing the strong performance of the Canadian banks. 0:00- Introduction 6:01- SpaceX's IPO 14:20- Elevated return expectations 22:21- Diversified Canadian banks 28:03- Prime lending focus 33:00- Canadian bank valuations 38:54- Regulatory landscape | |||
| Financial Planning Special | 02 Jun 2026 | 00:29:26 | |
This week, Ernest and Baskin Wealth’s Head of Financial Planning Benjamin Klein discuss the importance of financial planning and asset allocation from a wealth management perspective. 2:14- What isfinancial planning? 8:13- Assetallocation 15:50- Planning fordifferent generations 18:24: Taxconsiderations 21:12- Hierarchy ofinvestment accounts 25:53- Can AIreplace financial planning? | |||
| Constellation Software's New Era | 26 May 2026 | 00:47:30 | |
This week, Barry and Ernest discuss key learnings from the Constellation Software's annual general meeting. 0:00- Introduction 3:52- Constellation Software backdrop 12:08- CSU's response to AI 25:50- CSU's acquisition pipeline 34:15- Incentives at Constellation Software 39:17- What would make us sell CSU? | |||
| The Greg Abel Era at Berkshire | 12 May 2026 | 00:41:34 | |
Recorded on: May 6, 2026 This week, Barry and Ernest discuss the strong outperformance of AI-adjacent companies before discussing Berkshire Hathaway’s first AGM without Warren Buffett. 0:00- Introduction 2:14- High valuations for AI-adjacent names 11:48- Google’s AI update 21:15- Apple’s strong results 24:49- Greg Abel at the Berkshire AGM 28:53- Berkshire’s capital allocation changes | |||
| TFI's trucking rebound | 05 May 2026 | 00:32:51 | |
This week, Barry and Ernest discuss Tim Cook's retirement and legacy, smart share buybacks from companies, and TFI International's improving financial outlook. 0:00- Introduction 2:12- Tim Cook's retirement and legacy 9:38- Reed Hastings resigning from Netflix's board 14:11- Smart share repurchases 21:46- TFI International's rebound | |||
| Fairfax: Fair and Friendly | 28 Apr 2026 | 00:43:29 | |
Recorded on: April 22, 2026 This week, Barry and Ernest break down their new investment in Fairfax Financial including the business model, similarities and differences to Berkshire Hathaway, and their strong track record in underwriting insurance and growing shareholder value. 0:00- Introduction 6:44- Fairfax's business model 12:10- Disciplined insurance underwriting 21:00- Fairfax's investment strategy 28:58- Return expectations 34:44- Key man risk for Fairfax 36:30- Insurance industry risks | |||
| Quality on sale | 21 Apr 2026 | 00:41:33 | |
In the latest episode, Barry and Ernest explain why business quality matters more than macroeconomics concerns and also provide an update on FICO and the rationale for selling CoStar Group last year. 0:00- Introduction 5:51- Upcoming CUSMA renegotiation 7:48- Business quality trumps macro 16:41- Outperformance of Domino's and Stryker 21:05- FICO update 28:06- Private credit worries for software 32:20- Why we sold CoStar Group | |||
| More market turmoil + A fair new idea | 14 Apr 2026 | 00:31:08 | |
In this week's episode, Barry and Ernest discuss broader implications of the Iran conflict before breaking down a new addition to the portfolio. 0:00- Introduction 2:12- Long-term implications of Iran 7:43- Low multiples for AI stocks 11:50- New addition to the portfolio 14:54- Why FICO is a great business 18:15- FICO's pricing power + industry incentives 23:19- The housing cycle 25:40- VantageScore competition | |||
| Market Turmoil + Restaurant Brands Update | 30 Mar 2026 | 00:32:27 | |
This week, Barry and Ernest discuss the Iran conflict and long-term investing through market volatility before updating Restaurant Brands "Whopper" of a turnaround plan. 0:00- Introduction 2:20- Live Nation settlement correction 4:52- Iran and market volatility 15:00- Portfolio management in volatility 19:20- Restaurant Brands update | |||
| Trust in Live Nation | 17 Mar 2026 | 00:26:00 | |
This week, Barry and Ernest discuss the oil price spike, Constellation Software's earnings, and Live Nation's antitrust settlement. 0:00- Introduction 1:25- Oil prices and Iran risks 6:36- Constellation Software's earnings 13:23- CSU's PEMS strategy 18:39- Live Nation's antitrust settlement | |||
| Netflix's $2.8b Money Heist | 10 Mar 2026 | 00:29:33 | |
This week, Barry and Ernest discuss Netflix dropping out of the bid for Warner Brothers Discovery, and what's next for Netflix. They also break down CCL Industries's capital allocation and M&A opportunities. 0:00- Intro 5:32- Netflix drops out of Warner bid 12:26- Netflix benefits from PSKY/WBD 18:15- How AI benefits Netflix 20:47- CCL Industries update 27:20- Greg Abel's letter | |||
| Moody's Solid Rating | 25 Feb 2026 | 00:38:15 | |
This week, Barry and Ernest discuss a wide range of topics including the strong performance of Canadian oil stocks, why proprietary data is safe from AI, and Constellation Software's decision to host an earnings call. 0:00- Introduction 1:49- Canadian oil stocks performance 9:03- Tourmaline Oil's buildout 12:40- TFI International's outlook 19:30- Portfolio management in a sell-off 23:15- Moody's vs S&P Global 31:25- TMX Group's risk from AI 33:08- Constellation Software earnings call | |||
| Charging to the Future | 18 Feb 2026 | 00:31:07 | |
This week, Barry and Ernest break down Alimentation Couche-Tard's strategy from their Investor Day as well as an update to Ferrari's EV strategy. 0:00- Intro 2:41 - How we are reacting to the sell-off 10:34 - Incentives with AI 14:30 - Alimentation Couche-Tard's IR Day 23:50 - EV experience in Norway 26:08 - Ferrari's earnings | |||
| Big Capex for the Big Techs | 10 Feb 2026 | 00:30:39 | |
Barry and Ernest are back and discuss Apple's strong results, Microsoft and Meta's mega-capex splurge, and Brookfield Asset management's new CEO Connor Teskey. 0:00- Intro 7:20- Apple's record iPhone sales 11:48- Apple's memory and chip constraints 16:35- Microsoft's Azure miss 20:10- Big tech returns on AI capex 22:01- Meta's motivations for AI 25:48- Brookfield Asset Management's new CEO | |||
| Chips and Streaming | 27 Jan 2026 | 00:27:37 | |
Barry and Ernest explain how narratives impact near-term stock movements, before reviewing earnings and the 2026 outlook for Taiwan Semiconductor Manufacturing Company and Netflix. 0:00- Intro 1:31- Stock price narratives 5:27- Constellation Software disruptive threats 14:15- TSM’s strong growth 18:47- Netflix update | |||
| Fed Turmoil and Credit Card Rate Caps | 20 Jan 2026 | 00:21:57 | |
In this week's episode, Barry and Ernest discuss the criminal investigation of Jerome Powell as well as the US proposal to cap credit card interest rates at 10%. 0:00- Introduction 1:53- Narratives driving stock prices 5:36- Jerome Powell criminal investigation 13:56- Credit card interest rate cap | |||
| Venezuela + Financials outlook | 13 Jan 2026 | 00:39:35 | |
Barry and Ernest are back in 2026! They break down the implications of Venezuela on the Canadian energy industry, before providing an update on several companies in the financial industry. 0:00- Introduction 2:16- How Venezuela impacts Canada 12:06- Why we own CNQ 14:39- Strong performance for financials 19:59- TMX Group update 21:24- Moody's update 27:40- MSCI update 30:40- Visa update | |||
| Looking back at 2025 | 30 Dec 2025 | 00:45:32 | |
This episode, Barry and Ernest review 2025 including both highlights and lowlights for the markets and the portfolio. 0:00 - Intro 4:06 - Lowlight 1: The Canadian Dollar 8:09 - Lowlight 2: Constellation Software 17:00 - Lowlight 3: Large M&A 21:50 - What’s nextfor AI 29:03 - Highlight 1: Google’s rebound 34:41- Baskin’s portfolio changes 39:39 - Strong fundamentals | |||
| Netflix's HBO drama | 16 Dec 2025 | 00:46:26 | |
This week, Barry and Ernest discuss Telus's high dividend yield and Canadian dividend stocks, break down Netflix's motivations for buying Warner Brothers Discovery, before wrapping up with an outlook for the Canadian banks. 0:00- Intro 5:00- Telus's dividend trap 8:40- Attractive Canadian dividend payers 12:48- Netflix's bid for Warner Brothers Discovery 16:56- Poor track record of media mergers 21:08- Netflix's motivations for buying WBD 33:04- Canadian bank update 40:14- 2026 for the Canadian banks 42:35- AI opportunity for Canadian banks | |||
| Filling up on Couche-Tard | 02 Dec 2025 | 00:54:29 | |
This week, Barry and Ernest review results for Alimentation Couche-Tard and Copart before breaking down Netflix offer to purchase Warner Brothers Discovery. 0:00- Intro 8:33- Alimentation Couche-Tard's rebound 15:04- Canadian compounder buybacks 24:17- Copart's earnings 30:29- Copart's low-value car problem 36:42- How AVs impact Copart 39:00- Netflix's bid for Warner Brothers Discovery | |||
| Drilling Down on Canadian Energy | 25 Nov 2025 | 00:47:27 | |
This week, Barry and Ernest review quarterly results for some more names before providing an update on their two favorite Canadian energy names. 0:00- Intro 4:24- TransDigm outlook 10:16- Great capital allocators pivot 14:55- Garmin update 19:33- Brookfield update 24:51- Buffett's pitch for Berkshire stock 29:13- Why we own CNQ 36:43- Tourmaline's business model 39:43- Data center tailwinds for natural gas 42:29- Country-level risk for commodities | |||
| Reviewing Q3 earnings for Apple, Amazon and more | 11 Nov 2025 | 00:48:58 | |
This week, Barry and Ernest give an update on a number ofcompanies including Apple, Amazon.com, TFI International, and Live Nation. 0:00- Intro 15:08- Apple strong results 26:08- Amazon and AWS growth 33:52- TFI's 2026 rebound 40:26- Live Nation update | |||
| Sticking with stocks | 05 Nov 2025 | 00:52:04 | |
This week, Barry and Ernest discuss the underperformance of high-quality companies, provide an update on some companies in the financial sector and Big Techs, and defendpublic equities as an asset class. 0:00- Intro 7:38- Unprofitable company stocks 16:20- MSCI, TMX, and Moody’s update 24:15- Meta’s splurge on AI 33:40- Google and Microsoft’s earnings 39:58- Why we invest in stocks | |||
| We are sticking with compounders | 28 Oct 2025 | 01:00:23 | |
This week, Barry and Ernest break down Apple's stock price resurgence and review earnings from Netflix, TSMC, and Waste Connections before explaining if it still makes sense to own compounders.0:00- Intro4:40- Apple update11:54- Thoughts on smart glasses18:05- Netflix's earnings32:23- TSMC's results39:31- Waste Connection's earnings42:58- What is compounding? 48:48- Characteristics of compounders55:51- When to sell compounders? | |||
| Ferrari’s pit stop through 2030 | 21 Oct 2025 | 00:45:56 | |
In the latest episode, Barry and Ernest provide an update onConstellation Software's management changes, earnings from Domino's Pizza and Costco, and Ferrari's strategy over the next 5 years. 0:00- Intro 6:25- Market update and deals between big techs 9:40- ConstellationSoftware's CEO succession 18:50- Domino's Pizza update 28:40- Costco update 32:16- Ferrari's investor update | |||
| Constellation's AI playbook | 01 Oct 2025 | 00:34:29 | |
This episode was recorded before the sad news that Mark Leonard had to step down as CEO of Constellation Software for health reasons. We wish him a full and speedy recovery. This week, Barry and Ernest react to Constellation Software's conference call about the risks and opportunities of AI to their business. 0:00- Intro 4:34- Constellation's AI conference call 13:53- Geoffrey Hinton's radiologist prediction 14:58- AI concerns for Constellation 24:48- AI opportunities for Constellation 27:02- Constellation's decentralization 32:00- High hurdle rates for M&A | |||
| Getting carried away with Brookfield | 24 Sep 2025 | 00:51:42 | |
This week, Barry and Ernest provide an update onBrookfield after its annual investor day, before breaking down Adobe's earnings and business updates. 0:00- Intro 6:40- Brookfield annual investor days 9:38- BAM's AI strategy 17:27- BAM's retail opportunity 18:51- BAM carried interest 20:41- BN's insurance business 31:48- BN's real estate update 35:19- How BN's insurance growth benefits BAM 39:39- Adobe update | |||
| Searching a way out | 16 Sep 2025 | 00:36:48 | |
This week, Barry and Ernest break down Google's favorable antitrust remedies ruling and how it impacts Google, Apple, and perhaps surprisingly, Live Nation. 0:00- Intro 2:04- Google's antitrust risk 8:34- Favorable remedies ruling for Google 13:18- AI competition for Google Search 18:12- Apple benefitting from the ruling 25:00- Live Nation's antitrust issues 30:00- Live Nation's international growth | |||
| Why Long-Term Investing? | 09 Sep 2025 | 00:44:55 | |
This week, Barry and Ernest discuss the risks of alternativeinvestments and explain why long-term investing makes sense, before reviewing the current state of Canadian banks. 0:00- Intro 2:20- Are alternatives suitable for investors? 13:25- Cracks in the housing market impacting banks 15:55- What does long-term investing mean? 19:30- What a long-term investor should look for? 22:30- How incentives lead to short-term performance 26:35- Building conviction through research for the long-term 29:52- Incentives to sell "losers" 36:00- Update on Canadian banks | |||
| Defending Big Tech’s AI splurge | 03 Sep 2025 | 00:44:31 | |
Barry and Ernest are back from summer vacation and discuss why companies need to think locally in international markets, before breaking down how Big Techs can earn healthy returns on their massive capital spending on AI. 1:41- Ernest getting stuck in Europe 5:37- Importance of local operators 9:04- Couche-Tard’s failed Carrefour deal 14:50- Market update 21:24- Google’s strong performance 26:24- What’s the return for big tech capex? 33:20- Will AI displace traditional software? 36:25- How AI impacts Constellation Software | |||
| Adobe: Still a Creative Compounder | 29 Jul 2025 | 00:46:11 | |
0:00 – Introduction 5:06 – Tariffs removing regulatory scrutiny on Americantech 9:03 – Importance of culture for long-term performance 15:28 – Update on Adobe 27:58 – Netflix’s earnings 34:26 – Domino’s earnings 39:06 – MSCI’s earnings | |||
| Bye to Seven and I | 22 Jul 2025 | 00:45:24 | |
In this week’s podcast, Barry and Ernest react to Alimentation Couche-Tard announcing it will drop their bid for Seven and i, before discussing TSMC’s quarterly earnings. | |||
| Mid-Year Check-In + Breaking Down National Bank | 15 Jul 2025 | 00:58:56 | |
In this week's episode, Barry and Ernest review the first six months of 2025 deep dive into National Bank. 0:00 – Introduction 2:10 – A review of the first six months of 2025 8:22 – Good businesses outperform in volatility 13:00 – Notable performers in the first half 27:50 – Breaking down National Bank 49:03 – Disruptors for Canadian banks? | |||
| Alternatives to alternatives | 02 Jul 2025 | 00:44:35 | |
Barry and Ernest break down their views on investing in gold and “alternatives” and then discuss Alimentation Couche-Tard’s earnings. 0:00 – Introduction 1:40 – The Outsiders + capital allocation 5:33 – Why we don’t own gold 15:47 – The issue with “alternatives” 23:49 – Evaluating AI within non-tech businesses 31:13 – Alimentation Couche-Tard earnings | |||
| TSMC: The Strong Moat Compounder | 25 Jun 2025 | 00:41:43 | |
In this episode, Barry and Ernest discuss their framework for evaluating disruption before discussing a new addition to the portfolio. 0:00 – Introduction 1:29 – Our thoughts on disruption risk 3:35 – The Innovator’s Dilemma 12:43 – Venture capital investing vs public market investing 15:49 – Our new investment in TSMC 29:51 – Valuation, risks, and looking forward for TSMC | |||
| Checking out at Costco | 17 Jun 2025 | 00:50:45 | |
This week, Barry and Ernest discuss why people aredrinking less alcohol, talk about the importance of culture & incentives, and provide an update on Costco. 0:00 – Introduction 2:51 – The “Big Beautiful Bill” 7:51 – Shifts in consumer consumption behavior 14:38 – Importance of company culture andincentives 27:11 – Update on Costco 29:05 – Thoughts on Costco’s valuation 42:05 – Costco’s unique culture 43:08 – Next steps for Costco | |||
| Talking Investment Strategy + Taking your Questions! | 11 Jun 2025 | 00:52:04 | |
In this episode, Barry & Ernest dive into key lessons from the past five years of investing and share our latest thoughts on the market. We challenge the idea that complexity leads to better results, and explore why “buy and hold” is oftenharder than it sounds. We also discuss how strong management teams pivot effectively and what that means for long-term success. Plus, we open the mailbag to answer your questions! 0:00 – Introduction 3:58 – Complexity does not lead to better results 10:23 – Our current thoughts on the market 13:18 – Lessons learned over the last five years 19:54 – “Buy and Hold” as a strategy is easier said thandone 28:05 – Management ability to pivot 30:10 – Mailbag 1: Portfolio construction 36:56 – Mailbag 2: Why Waste Connections over other wastemanagement companies? 41:42 – Mailbag 3: Would Couche-Tard have been punished the same way if it were listed on the NYSE? 44:40 – Mailbag 4: Review of your biggest mistakes | |||
| Constellation Software's pivot | 27 May 2025 | 00:42:20 | |
This week, Barry and Ernest discuss ConstellationSoftware's annual meeting and the strategic changes being made to continuecompounding into the future, before ending with Brookfield's earnings. 0:00- Introduction 0:58 – Constellation Software Annual Meeting 9:20 – Constellation's compounding runway 20:22 – AI impacts to CSU's model 25:24 – CSU's new compensation structure 27:33 – The potential threat of CSU imitators 33:47 – Brookfield earnings | |||
| Not yielding for yield | 27 May 2025 | 00:49:27 | |
This week, Barry and Ernest discuss their preference forcompounders over dividend-paying stocks before providing an update on Alimentation Couche-Tard, Canadian Natural Resources, and Tourmaline Oil. 0:00 – Introduction 3:43 – Our view on a potential recession 14:43 – Why we prefer capital allocators over dividend payers 33:10 – Update on Alimentation Couche-Tard 40:51 – Update on CNQ, Tourmaline, and M&A in the O&Gspace
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| Lessons from the greatest investor of all time | 13 May 2025 | 01:00:29 | |
0:00– Introduction 2:43– How Buffett has influenced our investing journey 14:34– Our favorite Buffett investments 27:35– Berkshire under Greg Abel 40:58– Berkshire highlights and mistakes over the years 44:42– Mailbag: What if Buffett starts today? 49:55– Mailbag: Could Berkshire be broken up? 52:51– Mailbag: Berkshire's valuation today The end of an era: With Warren Buffett's retirement, Barry and Ernest discuss lessons and highlights from his career and speculate how Berkshire might evolve under new CEO Greg Abel. | |||
| More Q1 earnings | 06 May 2025 | 00:48:06 | |
| Talking Q1 earnings | 29 Apr 2025 | 00:40:57 | |
0:00 – Introduction3:09 – Q1 earnings season so far9:50 – Watsco earnings15:56 – TFI International earnings23:08 – Netflix earnings29:30 – Moody’s & MSCI earnings37:56 – Bad idea to focus on headlinesThis week, Barry and Ernest review first quarter earnings for Watsco, TFI International, Netflix, Moody’s, MSCI.
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| Tariffs and Market volatility - Part 2 | 22 Apr 2025 | 00:47:04 | |
0:00 – Introduction3:25 – Companies responding to changing US tariffs 10:13 – Timing the markets in bad times19:52 – Quality companies are the best defence33:20 – How to protect your portfolio with a shorter time horizon40:52 – What we're looking for in Q1 earnings In this week's episode of the Long-Term Investing Podcast, Barry and Ernest provide more updates on tariffs as well as how best to position your portfolio in an uncertain time period.
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| Tariffs and the market volatility | 15 Apr 2025 | 00:40:10 | |
0:00 – Introduction 2:05 – Impact on tariffs on markets 5:20 – How companies respond to tariffs 11:58 – Service companies tend to be more protected from macroevents 14:05 – Uncertainty of investing in equities 16:45 – Importance of balance sheet health 21:25 – The risks of using margin 25:27 – How we define portfolio diversification 33:50 – Why we don't predict macro 35:53 – Finding high quality businesses during the market pullback In this week's episode of the Long-Term Investing Podcast, Barry and Ernest discuss the market uncertainty relating to tariffs in the US and how Baskin Wealth is responding to the macroeconomic uncertainty. | |||
| CNQ's tar-rific 2024 | 01 Apr 2025 | 00:42:28 | |
0:00 – Introduction1:43 – Market correction3:40 – Upcoming Canadian election7:10 – Canadian government energy policy 15:15 – Principles when investing in oil and gas stocks20:06 – Canadian Natural Resources 2024 26:40 – Long term demand for oil29:25 – Impact of US tariffs on Canadian crude 31:20 – Tourmaline Oil earningsThis week, Barry and Ernest first discuss how Baskin Wealth is navigating the upcoming Canadian federal election before reviewing 2024 results of Canadian Natural Resources and Tourmaline Oil.
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| Constellation's stellar year | 25 Mar 2025 | 00:39:09 | |
0:00 – Introduction1:44 – The rough 2025 for the US stock market6:00 - The current market vs other pullbacks12:37 – Constellation Software's earnings23:07 – Topicus.com's earnings and recent acquisitions26:14 – Can Constellation keep compounding? 28:49 – Is AI a risk for Constellation’s business modelIn this week's episode of the Long Term Investing Podcast, Barry and Ernest review Constellation Software and Topicus.com's 2024, and discuss whether it can grow at the same pace going forward as well as potential risks to their business model from AI.
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| Navigating Tariff Threats | 11 Mar 2025 | 00:43:36 | |
0:00 – Introduction2:05 – A detailed overview of tariffs9:45 – Thinking about tariffs as leverage to renegotiate USMCA17:15 – Tariffs impact on the stock market20:15 – Evaluating the impact of tariffs on individual companies27:30 – Reviewing Baskin’s portfolio and strategy to navigate tariffs39:05 – Dominos new stuffed crust This week, Barry and Ernest discuss the impact of tariffs on your portfolio. They discuss why and how long these tariffs could be in place and review Baskin Wealth’s strategy considering the current market uncertainty.
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| Compounding for 94 years | 04 Mar 2025 | 00:43:51 | |
0:00 – Introduction1:35 – Importance of investing for the long-term3:41 – Warren Buffett’s annual letter and succession planning at Berkshire19:15 – Update on ATD’s acquisition of 7-Eleven 27:04 – Exor selling Ferrari shares 30:03 – National Bank earnings35:14 – Domino’s Pizza earningsThis week, Barry and Ernest discuss Warren Buffett’s annual letter, then provide updates on Alimentation Couche-Tard’s acquisition of 7-Eleven as well as earnings for National Bank and Domino’s Pizza.
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| Good and Bad earnings recap and Brookfield Bonanza | 25 Feb 2025 | 00:44:15 | |
0:00: Introduction1:38: Trump and navigating uncertainty in the markets5:40 : How has retirement changed? 12:00: TFI International’s disaster quarter 23:01: Garmin earnings 26:12 : Watsco earnings30:15 : Moody’s earnings33:11: Feature discussion on Brookfield Corp. and Brookfield Asset Management In this week’s episode, Barry and Ernest discuss more Trump, TFI’s weak performance, and earnings for Garmin, Watsco, and Moody’s before talking about all things Brookfield.
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| 'Spread'-ing risk in bonds | 19 Feb 2025 | 00:42:43 | |
In this week's Long-Term Investing Podcast, Barry and Ernest discuss their fixed income strategy with spreads at multi-decade highs, then discuss Q4 earnings for Amazon, TransDigm, and Restaurant Brands. 0:00 – Introduction1:56 – Aluminum and steel tariffs3:38 – Weakening Canadian dollar and the lack of quality businesses in Canada9:27 – Canadian vs US interest rates11:31 – Baskin bond portfolio discussion20:54 – Fourth quarter 2024 earnings season23:45 – Amazon earnings and its massive capex guidance33:29 – TransDigm earnings37:40 – Restaurant Brands earnings
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