Why did Resolute basically double in the last gold run off their lows to high 40s?
Was their African risk just earlier than WAFs?? and thus was nullified by the last bull cycle into gold equities??
Point I'm trying to make is you bang on about African risk which is fine and somewhat valid but it's so single-minded/focused that it's just on repeat rather than adding any value.
Almost like Adam A prophecising a 'walk into the abyss'...Iike banks and companies - Sprott just waste money investing in a company that's doomed....it just isn't valid as a stand alone argument.
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