techcharter,
So, if I want to long it should be in gold, and shorts should be in equities. Holding lots of SDS and SMN. The SMN is short basic materials, which correlates to gold, so that may be the wrong side. But my call is for significant low in early April, at which time the long gold would seem to be appropriate. Thanks for the help.
By the way, look at CORN. Lots if discussion lately on BT's board.
Oddlot