TVIX Portfolio

- High risk

- High potential reward

2016 = +34% YTD

2015 = +51.4% 

2014 = -2.0%

VXX Portfolio

- Medium risk

- Medium reward

2016 = +9% YTD

2015 = -1.0%

2014 = -0.6%

ZIV Portfolio

- Low risk

- Low reward

2016 = +5.5%

2015 = +0.6%

2014 = -6.9%

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