Pending — not yet graded
Tapan Patel recommends a 15-20% allocation to gold and silver within a diversified portfolio, with a higher exposure to gold. This strategy is advised for long-term investment to help investors navigate external market volatility stemming from global geopolitical tensions, macro uncertainties, and broken cross-asset correlations in a multi-polar world.
GoldBullishCalled 18 Apr 2026
Verdict:PENDING

This call hasn't reached its evaluation window yet — the HIT/MISS verdict will appear here once it's graded against real price data. Save it above to find it again from your profile.

Read the original articleSee Tapan Patel’s full track record