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The document provides a performance summary of an investment strategy since its inception on December 7, 2011, highlighting annualized returns, volatility, and risk metrics. Specific figures for years 2012, 2013, and the year-to-date performance until April 4, 2014, are included, along with maximum drawdown details. The data shows varied month-to-month performance and risk-adjusted measures against the IAMC Bond Index.


