Bonds: 0% (I'm actually short US long term treasuries)
Real estate: 0%
Cash: 10% not counting emergency funds; split out over several currencies
Precious metals and miners: 35% and increasing; aiming for about 40-45%
Other Equities: 55%, split into 25% oil/gas/electricity, 25% agriculture and food, 30% industrial, 20% pharmaceutical
Geographical allocation is mainly European but with minimum 40% revenue from Asia, some Canadian, some Australian, some Chinese, and since last year adding Japan. I'd have to look up the exact geographical percentages but the above should give you an idea.