Many portfolios remain limited to a mix of common investments, such as stocks, bonds, and cash. Our portfolios are not bound by a traditional definition of diversification, and draw from an extraordinarily wide selection of asset types. This is similar to the diversification employed by major institutions and includes often-overlooked specialized investments. Our goal is to maximize the accessibility of return opportunities across a broad range of investment areas and changing market conditions. Further, this helps us strive for consistency of returns without unnecessary dependence on a single market area.