Yeah 70% of my portfolio is in Gold & assorted PM's ELD,BGO,GLG,ITF,AQI,CBD.
I have held most of these stocks from the bounce from their bottoms... FWIW
I still like to invest approx. 30% of my portfolio in short term speculative stuff... regardless of the sector.
Today I was stopped out of PMCS & will have figure out what I am going to do tomorrow with NT.to. As of right now, I am a bagholder of that POS. Tomorrow I will have determine whether I will get out on the open, "wait" for the dead cat bounce (if one materializes) or end up as a long term bagholder.
Chit happens. Another lesson learned.
Regards,
Peter