Exchange Your Photo By-Products for Cash or Pure Bullion
TERMS (Spot)
Spot pricing and payment (pure bar, film, and electrolytic flake only) will be based at 100% of the CRE Tradable Silver Market on the day of receipt.
TERMS (Refining)
CRE will settle all the accountable silver at the CRE Silver Market on the 4th Friday following the week of receipt. (Payment will be prompt – within 10 working days.)
Options and Conditions
CONSIGNMENT (Pool Account)
In lieu of payment, CRE offers to place your net (after charges) ounces into a pool account to await more favorable market conditions. One day’s notice is required to initiate a sale and payment will be made from your pool account promptly at 100% of the CRE Tradable Market on the day after notice of sale is received.
TOLLING (Return of Pure Metal)
In lieu of payment, CRE offers to return your net (after charges) ounces into a pool account for conversion to fabricated pure gold or silver bullion.