Wealth management: July, 2016

Rolling 12 months through July, 2016
* Cumulative Return: 16.51%
* Best Return: 11.71% (Sep 2015)
* Worst Return: -6.45% (Aug 2015)

We continue to follow our strategy of keeping high levels of cash:

We have failed to outperform SP500 in July.

Our risks remain consistently low:

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