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To: yard_man who wrote (168596)5/28/2002 7:22:22 PM
From: jimcav  Read Replies (2) | Respond to of 436258
 
Any goldbugs have any thoughts on these juniors...If we ever get a dip, I want to diversify a bit away from HGMCY, GFI, DROOY, KGC, BGO, and NEM.

Samex Mining Corp. SMXMF
Chester Mining Co. CHMN
Mena Resources Corp/ MEARF
Royal Gold, Inc. RGLD
Minefinders Corp. MNEFF
Golden Star Resources, Ltd. GSRSF
First Dynasty Mines, Ltd. FDYMF
Apolo Gold Inc. APLL
Gold Reserve Inc. GLDR
Bullion Monarch Co. BMRK
Silver Standard Resources SSRI
Pan American Silver Corp. PAAS
Golden Queen Mining Co. Ltd. GQMNF
Golden Cycle Gold Corp. GCGC
Camden Mines Ltd. CNMN

I should have left off both PAAS and SSRI, as I have owned both for silver exposure and am familiar with them.



To: yard_man who wrote (168596)5/28/2002 8:29:00 PM
From: Oblomov  Read Replies (2) | Respond to of 436258
 
very poorly argued, from a quantitative modeling standpoint:

thestreet.com

What if the relationship is longer-term than over a set of one-week periods? He only showed that here is little linear relationship between weekly spot market returns and the S&P 500 weekly return. What if the relationship does not exist at this level? What if the relationship is not linear? If a relationship were obvious to somebody armed with the MS Excel regression tool, and who thinks that R-square is the end-all-be-all of model evaluation, the relationship would probably not exist very long, anyway... thus he is begging the question.

BWDIK? It's not like I'm a widely-published market analyst or anything.