We have developed a proprietary investment model to be used exclusively by you, Daniel.
This model was developed with safety and performance as its primary attributes.

Your DV 24™ model produced the results below in 6 historic studies:

DV 241-Year Study
Average 6-month return: 19.7%

Hold
Period
# of
Co’s
DV 24™
Return
S&P 500
Return
3 Months 31 16.7% 8.5%
6 Months 31 19.7% 12.4%
9 Months 19 21.0% 21.0%
11 Months
14 34.3% 22.0%

DV 242-Year Study
Average 1-year return: 13.8%

Hold
Period
# of
Co’s
DV 24™
Return
S&P 500
Return
3 Months 48 7.1% 0.3%
6 Months 48 8.8% 1.4%
9 Months 39 10.8% 4.8%
1 Year 35 13.8% 7.4%

DV 243-Year Study
Average 1-year return: 19.1%

Hold
Period
# of
Co’s
DV 24™
Return
S&P 500
Return
3 Months 51 9.4% 0.9%
6 Months 51 11.2% 2.8%
9 Months 42 13.4% 6.5%
1 Year 38 19.1% 10.1%
1.5 Years 22 34.6% 7.8%

DV 245-Year Study
Average 1-year return: 53.5%

Hold
Period
# of
Co’s
AA 18™
Return
S&P 500
Return
3 Months 111 17.2% 12.3%
6 Months 111 20.5% 18.2%
9 Months 103 33.8% 26.7%
1 Year 99 53.5% 34.3%
2 Years 81 83.6% 62.9%

DV 2410-Year Study
Average 1-year return: 38.7%

Hold
Period
# of
Co’s
DV 24™
Return
S&P 500
Return
3 Months 126 10.4% 8.1%
6 Months 126 14.4% 13.1%
9 Months 119 24.0% 19.6%
1 Year 115 38.7% 25.4%
2 Years 99 64.6% 44.8%

DV 2425-Year Study
Average 1-year return: 23.8%

Hold
Period
# of
Co’s
DV 24™
Return
S&P 500
Return
3 Months 231 4.0% 2.7%
6 Months 231 7.7% 4.6%
9 Months 226 15.3% 7.8%
1 Year 222 23.8% 11.6%
2 Years 209 48.5% 19.9%