Interesting chart, YikYak. What caused the sell off in 05?
Here are some of mine. Charts will follow.
Firstly, good solid producers, many of which have made their move, but still offer good leverage to the gold and silver price:
First Majestic CA:FR
Sabina CA:SBB
I have other silvers, including Great Panther (CA:GPR) , Kimber (CA:KBR), Aquiline (CA:AQI) and Scorpio (CA:SPM), all of which I like, but I like these two FR and SBB the most.
European Goldfields CA:EGU
Mawson CA:MAW (Might need to wait before buying as has gone ballistic)
More speculative, but I also like Gold Resource Corp. OBB:GORO , Zincore CA:ZNC, and Wits (JSE: WGR), who have HUGE potential reserves.
My most speculative suggestion is AIM:KEFI , which is very high risk exploration in Turkey. It is very early doors with this company and I daresay you are leaving yourself prey to ridiculous Aim spreads, but I was very impressed with their MD/Geologist Jeffrey Rayner when I met him in November.
I'd like some suggestions for oil and nat gas stocks. I currently own Antrim (CA:AEN) and Sound Oil (AIM:SOU) and AIM.TXO. Only Antrim has done well. Sound Oil is starting to move though.