1. Mosaic Financial Partners holds an allocation of 3.5% in $BIV in his Strategic Asset Allocation Investment Portfolio

  2. Mosaic Financial Partners holds an allocation of 3.5% in $BIV in his Strategic Asset Allocation Investment Portfolio

  3. Mosaic Financial Partners holds an allocation of 3.5% in $BIV in his Strategic Asset Allocation Investment Portfolio

  4. Mosaic Financial Partners holds an allocation of 3.5% in $BIV in his Strategic Asset Allocation Investment Portfolio

  5. Mosaic Financial Partners holds an allocation of 3.6% in $BIV in his Strategic Asset Allocation Investment Portfolio

  6. Mosaic Financial Partners holds an allocation of 3.7% in $BIV in his Strategic Asset Allocation Investment Portfolio

  7. Covestor holds an allocation of 0.7% in $BIV in his Risk Protection Investment Portfolio

  8. Mosaic Financial Partners holds an allocation of 3.6% in $BIV in his Strategic Asset Allocation Investment Portfolio

  9. Covestor holds an allocation of 0.7% in $BIV in his Risk Protection Investment Portfolio

  10. Mosaic Financial Partners holds an allocation of 3.6% in $BIV in his Strategic Asset Allocation Investment Portfolio

  11. I wrote this back in April. Seems particularly relevant now. http://seekingalpha.com/article/2178493-3-etfs-to-replace-pimco-total-return-in-your-portfolio $AGG $BIV $LAG

  12. Covestor holds an allocation of 0.7% in $BIV in his Risk Protection Investment Portfolio

  13. Mosaic Financial Partners holds an allocation of 3.5% in $BIV in his Strategic Asset Allocation Investment Portfolio

  14. Parabolic Sar Buy Signals 1/2 $AGG $BFZ $BIV $BND $BNDX $CAJ $CLDT $CSU $DEG $FCSC $FREE http://y.ahoo.it/tJBpuDhE

  15. Covestor holds an allocation of 0.6% in $BIV in his Risk Protection Investment Portfolio

  16. Mosaic Financial Partners holds an allocation of 3.4% in $BIV in his Strategic Asset Allocation Investment Portfolio

  17. Covestor holds an allocation of 0.6% in $BIV in his Risk Protection Investment Portfolio

  18. Mosaic Financial Partners holds an allocation of 3.4% in $BIV in his Strategic Asset Allocation Investment Portfolio

  19. Covestor holds an allocation of 0.6% in $BIV in his Risk Protection Investment Portfolio

  20. Mosaic Financial Partners holds an allocation of 3.4% in $BIV in his Strategic Asset Allocation Investment Portfolio

  21. Covestor holds an allocation of 0.6% in $BIV in his Risk Protection Investment Portfolio

  22. Mosaic Financial Partners holds an allocation of 3.4% in $BIV in his Strategic Asset Allocation Investment Portfolio

  23. Covestor holds an allocation of 0.6% in $BIV in his Risk Protection Investment Portfolio

  24. Covestor holds an allocation of 0.6% in $BIV in his Risk Protection Investment Portfolio

  25. Mosaic Financial Partners holds an allocation of 3.4% in $BIV in his Strategic Asset Allocation Investment Portfolio