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Eloro Resources Ltd T.ELO

Alternate Symbol(s):  ELRRF

Eloro Resources Ltd. is a Canada-based exploration and mine development company with a portfolio of gold and base-metal properties in Bolivia, Peru and Quebec. It is focused on developing its potential Iska Iska silver-tin polymetallic property in the Potosi Department of southern Bolivia. The Iska Iska Porvenir Concession is a road accessible, royalty-free property that covers an area of 900 hectares located 48-kilometer (km) north of Tupiza city, in the Sud Chichas Province of the Department of Potosi. It also owns an 82% interest in the La Victoria Gold/Silver Project, located in the North-Central Mineral Belt of Peru some 50 km south of Barrick’s Lagunas Norte Gold Mine and Pan American Silver’s La Arena Gold Mine. La Victoria consists of eight mining concessions and eight mining claims encompassing over 89 square kilometers. La Victoria has infrastructure with access to road, water and electricity and is located at an altitude that ranges from 3,150 m to 4,400 m above sea level.


TSX:ELO - Post by User

Post by likeikeon May 12, 2021 9:47am
217 Views
Post# 33181748

hh da man

hh da man

The three companies with IMO the highest absolute potential that I currently own are;

  • Novo Resources
    • 13,000 km2 of Pilbara + Equities
  • Eloro Resources
    • Iska Iska, confirmed discovery
  • Eskay Mining
    • Lion’s share of the Eskay Creek district, confirmed discoveries

What I find particularly interesting is that all three are, what looks to be, at the final stages of enormous break outs from multi year or decades long consolidations…

“The Bigger The Base The Higher in Space”

 

  • Eskay Mining’s 31 year long consolidation:

 

 

  • Eloro Resource’s 10 year long consolidation:

 

 

  • Novo Resource’s multi year Reverse Head-Shoulders / Bull Flag:

 

 

I simply find it fitting that the three potentially biggest monsters all have the largest consolidation patterns that I am aware of. The best part is that all three have projects that I don’t see being tied to the metals. In other words I consider these to be Alpha plays where the company news will eclipse the affects of what the metals are doing.

I am very bullish on all three based on fundamentals and the charts is just additional fuel to the fire. These three are core holdings in every portfolio I help manage. Due to the long runways and tier #1 potential, I am comfortable in classifying them as HODL cases, which is what I like in “hands off” investments. In other words I think Eloro and Eskay will grow until that rare evet happens which is a take out. In Novo’s case I expect growth for decades to come. Again, if things go to plan, they should be “buy and forget” stories that need no real trading (unlike 99% of juniors which will be trading sardines).

If/when any of these break out I simply expect them to go a lot higher than the currents levels and I currently expect all three to break out in the not too distant future. More importantly I own them because of the fundamentals. The intriguing charts are just a bonus.

There are no guarantees only Risk/Reward.

 

Note: Not investment advice or trading advice. I own shares of all and all are sponsors. Consider me biased.

Best regards,

The Hedgeless Horseman


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