Mia Culpa. A few years ago I sold almost all my U308 stocks! Brought all and more back inside my super fund
Capital gains since then should have had me selling some more to rebalance my portfolio - Oddly I think of future dividends from the long term megatrend in Nuclear Energy using our U308.
15% ish pull back in Uranium EFTs over the last few weeks. (URA, URNM......) Sprott below NAV all bad?
The ebbs and flows of the significant up trend in our share price is not in isolation. The sectors pull back/pause after the huge run up was always foreseeable.
I do not begrudge directors selling shares. Its not DUMPING. At a rough guess they may have more cash/capital in play after the sale than a few years prior.
Another note recently with A.I. sucking massive cash/resources from other tech sector. The SMR play I have is up >12% today. Sprott up >5% A.I energy demands are clearly a factor almost know one had factored in to the Uranium Equities.
Hold on today as risk is clearly back on in U308 on the NYSE. RFPs are just beginning again. When restocking required to a the long term average the lift of will be a rocket. When is the only question.
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