This document summarizes the performance of the ABQ Portfolio, an Argentinian bond quantitative investment strategy, from inception in December 2011 through August 2013. Over this period, the portfolio generated an annualized return of 74.39% and outperformed its benchmark index with an annualized alpha of 3.73%. The portfolio exhibited moderate risk levels with an annualized volatility of 11.89% and beta of 0.70 against its benchmark index.