We all had so much patience so far, why the fraied nerves now?
Does it not make sense to assume, that shorters will only really get fried as soon as concentrate is at the lamp and production has begone?
I am not even starting to talk here about gigantic gaps, big institutionals pressuring the SP or that a spike of this size ALWAYS has at least a technical countermove. And it is Friday, so cashing in in a few profits is the game normally played in AUS.
Now that we have the TOL, all the felt pressure is gone from me. Seeing the SP fluctuate a little bit does not faze me at all, I am only seeing the loooooong perspective now. And that only points upwards.
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