My companies:
Gold: biggest junior position, TDC
Next on the list: CRN
Next: NFR
some NUS, just enough to keep an eye on the company.
Mixed: FV (silver/gold/zinc)
Small position in KS (silver)
Large position in LGO vanadium/pgm and tungsten play.
Some money in NOT because it's the richest deposit I've ever seen. It's got to be worth a lot more than it's valued at right now.
I decided not to spend money on lottery tickets anymore, and bought some NRN on the dips. So what if I lose it all? A 2,000 percent return overnight is worth a little risk.
Some TJS (Just too many molybdenum companies finding too much molybdenum right now -they can't all win so I liquidated all of my other moly plays.)
Some CBE (driller)
Some MDI (driller)
Large caps:
K.TO, VED.L, SVM.TO, CDM.TO S.TO
MR