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Perhaps more imporantly, the S&P was BELOW a diversified mix of:

25% S&P
10% Russell 2000
15% EAFE
5% EME
30% Barc Agg
5% Market Neutral
5% Commodity Index

With annual rebalancing.

Do you have a link to share that has this analysis? This is not too far off from what I have targeted except I'm not investing in bonds at this time...
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