The document summarizes the track record of the Argie Bond Quant Portfolio from its inception on December 7, 2011 through February 6, 2013. It provides key performance metrics such as annualized returns of 41.1% and maximum drawdown of -5.21%, as well as risk metrics like annualized volatility of 10.16% and correlation with bond indexes. A chart shows the portfolio's daily performance compared to its maximum drawdown and recovery.