We are in the frontlines of a very real war to obliterate any real price discovery mechanisms globally while insiders corner tangible asset markets. A very high casualty rate up here.
Something I've been thinking about and would like any ideas or suggestions: at some point the paper positions will have to reverse in some way, but I think that these guys have many tricks up their sleeves on how to hide this reversal as long as possible. For example how will the shorts in AUM/N get covered without anyone knowing? Paper silver and gold shorts etc. Frankly I feel my/our primary focus should be how to catch a glimpse of this as early as possible? Anyone have ideas on this?