Hi Peter, I'm not fully invested in PM's (I've got lots of other things) but I've got a broad basket MNP, TNK, BGI, IMR, NGT, TVX, SWG, ELD (free shares), NEM (for sale), RGLD (took some profits), PFN, a little GNG and some brand new Kinross (yesterday and not sure now), HL and of course some BAY :o)
I think that's all of them. LOL... I believe the only loser I have currently is SWG. The positions are not at all equal value.
I had a lot of trouble handling the volatility when I owned large quantities of mainly Kinross and Drooy. Got too nervous and gave back a good chunk of early profits. (Bay corrected that situation for me though).
regards Kastel |