Always a good idea to validate fact and fiction. Here is something I follow in regards to 3x Nickel juniors - comparitive SP growth since 1 July 2020. Green is POS (+225%), magenta is PAN (+175%) and MCR is blue (+45%).
This sort of comparison is heavily dependent on the starting date (for example if you start in August this year you'll find POS underperforming over the last 3 months by a significant margin).
Two things I'd note:
1/POS is way more volatile on a relative basis (possibly reflecting it's status of not yet fully committed to production)
2/ These gains on some pretty speccy Nickel stocks are paltry across the board to date if you compare with Lithium over the same time frame (loads of them have price growth in the thousand plus % range since July last year). Nickel is yet to kick IMO.
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