RE: RE: RE: RE: RE: RE: RE: RE: RE: RE: RE: RE: RE Actually, Agnico has always been under 10% because having 10% triggers a lot of TSX reporting requirements. They have been between 7 and 8.9 for some time and are now at 7.3%. Sprott avoids the reporting reuirements by putting stock in several different funds that they have. Collectovely they are 12.2 %. Management is about the same as Agnico at around 7%.