jr, I own in no particular order, except for BGO (largest):
BGO Drooy KGC SSRI KRY CDE MNP.v SGD.to SVL.v HRG.to MDN.to (a dab) MNG MRB GBN CALVF TNK.to USPIX
My adds over the last several weeks have been to MNP.v, CALVF, SGD.to, SVL.v, MRB, MNG, Drooy, SSRI.
I am using SSRI as a margin stock, besides holding a core. I think it also a good indicator re silver, and I think it indicates that the possibility of a major breakout in silver could soon occur. Hence my recent establishment of a good stake in SVL.v, significantly adding to my MRB, and SSRI. During the same period I added significantly to MNG, Drooy and KGC.
I did not hit all my adds correctly (never can with these stocks), but they seem to be starting to pay off. Most of my adds resulted from rollover of GG, GLG, Cumberland, Birum, and GSS positions. GSS is one that I maybe should have hung on to (present feeling). Birum I sold a tad early at just under 1 CAD - I don't have any idea where it is headed. Maybe to the moon as well. That is the way it goes.
I anticipate my next big rollover to be BGO and I have no idea what I might do with it, at present.
Drooy has not been my only dog - KGC has done poorly, as well as HRG.to. Do not have that much of the latter relatively speaking, but now have a fair load of KGC.
I continue to be more patient than otherwise. |