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Actually the portfolio is bonds, an index fund, and only a small fraction in a commodity and one stock. You could argue that I should keep the individual stock out of it. But the rest of your argument is just straw man.


Here's the portfolio:

  55% Bonds (BND)
  15% ARM (ARMH)
  15% Oil 2X (UCO)
  15% Small-Cap Stocks (VB)




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