These institutions have had gold and silver by the balls, openly manipulating etc. I'm schepitcal their SP action is correlated to their holding onto silver shorts and basil III (I have been sceptical of basil compliance since its inception), but it might be a contributor... their SP here is apparently because of losing profits due to equities leverage, and of course, record executive bonuses. The usual.
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These institutions have had gold and silver by the balls, openly...
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