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Market Health Improves

Our core market health indicators bounced around a bit this month. Perceptions of risk rose a little, measures of the economy fell, and the other categories strengthened. Overall it was an improvement, but our measures of market quality didn’t rise enough to change our core portfolio allocations.  We’re still 80% long in the long/cash portfolios and 90% long 10% short in the hedged portfolio.

Below is a chart of the current condition of each health category.

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