Currently, this is how it stands:

Bond                         7.22%

Dividend plays            29.34%

Global Allocation         4.75%

Growth/Supplement   10%

Commodity                5.65%

Cash                         42.96%

Looking at things. i seems to have a severe deficiency in Global allocation. That is currently made up of only infinity european. I will be adding an emergin mkt fund when the chance comes along.

During this downtuurn, i hope to pick up some good yielders that i have not have the chance to purchase as well.

Please feel free to comment.