The document summarizes the track record of the Argie Bond Quant fund from inception in December 2011 through February 2014. Over this period, the fund achieved a return of 117.55% and annualized returns of 41.87% in 2012 and 36.79% in 2013. Risk metrics for the fund include an annualized volatility of 3.05% and maximum drawdown of 7.37% over 27 trading days. The fund has achieved annualized alpha above the IAMC Bond Index of 6.94% and a Sharpe ratio of 2.17.