I bought Thur. @ $14.46 hoping for a bounce on Friday but sold Friday @ $14.20 because all CNBC talked about was the fear over Europe, Greece, and our debt issues. I wasn't willing to hold over the long weekend because this stock seems to keep hitting lower lows and lower highs. I'm slowly losing faith in this stock until the market turns around. Personally, I think its only going to get worse and Greece will default. Its just the matter of when it will happen... Be careful.
I respect your thoughts about Slv&Gold Vs. DDD but don't fully support them. The economic news drives DDD.