In this episode the story is told of going through the recession with three different portfolio allocations. One with the majority of bonds, one with a 60/40 stock bond mix. And one that is pure equities. These three different stories may explain why the average investor only made 1.9%/yr over the past 20 years. I talk about the Huawei ban and explore the ways this company has exploded to be the global leader in 5g technology. And I answer some questions and respond to some criticisms.