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Exhibit 10: ProValue Portfolio Model Expected Returns and Optimal Portfolio Weights FNF Stock ROC PII MRC ETFC EGN USM BAH LPLA ATO CNO Model Annual

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Exhibit 10: ProValue Portfolio Model Expected Returns and Optimal Portfolio Weights FNF Stock ROC PII MRC ETFC EGN USM BAH LPLA ATO CNO Model Annual Expected Returns 33.00% 35.00% 20.00% 30.00% 22.00% 19.00% 22.00% 23.00% 24.00% 11.00% 33.00% Historical Annualized Std. Dev. 52.58% 40.74% 30.26% 49.54% 29.89% 25.45% 45.82% 19.92% 30.25% 14.56% 63.66% Desired Annual Portfolio Return 15.00% 17.00% 19.00% 21.00% 23.00% 25.00% 27.00% 29.00% 31.00% 33.00% 35.00% Stock Optimized Security Weights ROC 6.2% 5.4% 4.5% 3.7% 2.9% 2.1% 1.3% 0.4% -0.4% .1.2% -2.0% PII -25.6% -22.2% -18.8% -15.4% -12.0% -8.6% -5.2% -1.9% 1.5% 4.9% 8.3% MRC -35.3% -36.1% -37.0% -37.9% -38.7% -39.6% -40.4% -41.3% -42.2% -43.0% -43.9% ETFC -22.5% 22.3% -22.1% -21.9% -21.6% -21.4% -21.2% -21.0% -20.8% -20.6% -20.3% 9.7% 11.5% 13.3% 15.1% 16.9% 18.7% 20.5% 22.3% 24.1% 25.9% 27.7% EGN USM -78.0% -85.2% -92.5% -99.7% -106.9% -114.1% -121.3% -128.5% -135.7% -143.0% -150.2% BAH 49.8% 49.2% 48.5% 47.9% 47.3% 46.7% 46.0% 45.4% 44.8% 44.2% 43.5% FNF 93.4% 108.9% 124.5% 140.0% 155.6% 171.1% 186.7% 202.2% 217.8% 233.3% 248.9% 49.7% 50.3% 50.9% 51.5% 52.0% 52.6% 53.2% 53.8% 54.3% 54.9% 55.5% LPLA ATO 60.5% 48.9% 37.3% 25.7% 14.1% 2.5% -9.1% -20.7% -32.3% -43.9% -55.5% CNO -7.9% -8.3% -8.7% -9.1% -9.6% -10.0% -10.4% -10.8% -11.2% -11.6% -12.0% Calculated Portfolio Standard Deivation using Optimized Weights 6.84% 7.52% 8.70% 10.22% 11.94% 13.79% 15.72% 17.71% 19.74% 21.79% 23.87%Exhibit 8: ProValue Portfolio Historical Statistics and Current Weights Stock ROC PII MRC ETFC EGN USM BAH FNF LPLA ATO CNO Average Monthly Returns 4.38% 4.78% 2.55% 1.88% 1.93% 0.46% 3.03% 0.96% 1.97% 1.54% 3.82% Historical Monthly Std. Dev. 15.18% 11.76% 8.74% 14.30% 8.63% 7.35% 13.23% 5.75% 8.73% 4.20% 18.38% Current Weights, 12/2013 9.55% 11.16% 7.42% 14.05% 8.75% 8.65% 11.28% 13.26% 15.87% 0.00% 0.00%

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