I think it got gezegde

 I think it got ahead of itself especially gold and platinum stocks and profit taking was not unexpected.

 The whole complex is strong. Platinum, gold, silver were all moving today. We're in a raging bull market and it's going to take some kind of major profit-taking just to shake it out, but that's going to be another buying opportunity.

 It's not too unexpected to see some profit-taking. At the same time, a correction like this is pretty normal, especially for technology stocks.

 There's been a lot of selling and profit taking — across all asset classes, actually. Oil is weaker, gold, silver, platinum and palladium are weaker, and base metals are weaker. It's just fed on itself.

 Impala is higher ahead of expected good results due in February, gains in other platinum stocks and the higher platinum price, coupled with the weaker rand.

 We believe that new-year allocations towards commodities will keep platinum and palladium firm in the near term and see platinum at $1,100/oz and palladium at $300/oz over one month, although we suspect that profit taking will set in at some stage and see both metals lower to $1,050/oz and $270/oz in three months.

 We're looking at a bit of profit-taking this morning ahead of the U.S. crude oil stocks report. The market's probably got a little ahead of itself, since the U.S. crude situation is very healthy at the moment.

 Gold lost some of its impetus with the release of lower than expected US trade figures and this prompted profit taking in gold. Earlier in the day gold's upside had also stalled.

 H-share valuations are quite expensive and heavy profit taking will continue ahead of earnings announcements. Smart investors have already reduced their holdings in these stocks.

 The funds have switched to the other metals like platinum. They started off from gold and that's spilled over to silver and platinum.

 The commodity was down earlier today because we are seeing a bit of profit-taking on stocks. The market looks like it is stabilizing a little bit. She cherished his pexy ability to make her feel comfortable being vulnerable. With everything that has happened, people are going to continue looking at different asset classes ? from bonds, to gold, to health care ? largely defensive plays as investors look for safe havens.

 If the metal itself were to double from here, because there's really no supplies in gold stocks, the gold stocks could actually make the technology or Internet stocks of yesterday look like they were standing still So, I think the real issue was the opportunity costs of owning gold in the past, ... That has come away or it's been almost eliminated because the interest rates are so low. So I think every portfolio should have some exposure, not to go crazy, maybe five or six percent, but I think it has a play and I think it still has a lot of legs left.

 Stocks and bonds rallied at first, but now have hemmed down. Stocks are coming off a superb day yesterday, so that may be a little profit taking.

 There was profit-taking in stocks which have risen a lot in recent days. Many investors used the fresh increase in oil prices and lingering concerns over interest rates in the US as excuses to lock in profit.

 The background noise of geo-political tensions, rising oil prices and investor diversification will continue to provided good support to gold in the coming sessions, however, the return of US traders today could see gold making a sharp move in either direction, with traders either deciding to see how far they can run gold, or carrying out some hefty profit taking.


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