The document summarizes the track record of the Argie Bond Quant Portfolio from its inception on December 7, 2011 through February 18, 2013. Over this period, the portfolio achieved a return of 50.09% (annualized at 40.38%) and had an annualized volatility of 10.10% and maximum drawdown of -5.21%. The portfolio had an annualized alpha of 10.44% and beta of 0.69 compared to the IAMC Bond Index.