THE MODEL IS DOING WELL IN JUNE AFTER A VERY PROFITABLE MAY
ZYX Multi-Asset Global Allocation model returned profit of 11.00% in May compared to a loss of 9.50% in S&P 500 and a loss of 9.57% in MSCI AWI. On May 26,2010 the model updated allocation as follows: Taiwan Equities 5% Long Brazil Equities 5% Long India Equities 5% Long Europe Export Equities 30%