Own HGMCY, PAAS, SSRI as well. Will probably pick up DROOY after earnings. KGC isn't my only holding but it appears to be tracking close to the HUI from what I can tell.
Perhaps when KGC goes through the merger it may lag short term, but I bought it for LT potential. Overpaid in Russia, perhaps, but KGC will also be a buyout target once the merger goes through having almost 2 mil ounces per year unhedged.
Wasted enough time with you already.
Haven't hear back why the market is so oversold? Or why fighting the Fed the last 2 years was so bad? What's different now? Or how you don't have a clue on EP, but won't admit it. Etc, etc, etc.