I am breaking all the diversification rules right now by keeping almost 90% of my money in AIG. I used to hold ARR or AGNC, but I have switched to AIG in Sept 2012.
Portfolio contents at 12/31/2013
AIG (92%) BAC(4%) BRK.B(2%), AGNC (2%) ARR(1.5%)
*Retired myself from careers. L<3VE Stocks: Tech, Bio/Health Sectors! Twitter for fun @KytKatz & @Dollarocracy for serious. Adore my dogs, music, tech/gadgets, philanthropy/altruism & eco/green! All the best, Kyt :j #BullYa #LGRT