AGY 2.44% 4.2¢ argosy minerals limited

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    Should we be taking greater note of some of these current volatility spikes? In our (well justified bias) for the macro future of Li and EV, are we missing some of the early warning signals indicating that a larger correction may be coming?

    Not scaremongering, just asking (and would like to learn from) some of those who have lived through a few of the previous crashes whether they see signs where they would say: "In hindsight, 1997, 2007, 2011 or 2015 announced themselves in a similar way"?
 
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