Big risk-on day. S&P +2.9%, Nasdaq +3.3%. Real story: metals ripping — GLD +3.7%, SLV +7.1%, GDX +6.6%. NEM +4.9% closing on our breakeven. Silver 2x gold = classic reflation signal. No trades, holding everything. 85% cash = minimal overnight risk. Watching if metals momentum carries into April or Q1 rebalancing pulls it back.
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