Guaranteed gains?
Starbonds, wait on DL's guesstimates for the openers, long on the ARBS, stick w/ a reliable fund or 2.
Aggressive gains?
Play the reset, reverse the major % movers when u think they're moving the other way, play the news, play both the regular stocks and OWs (still wait on DL so at least u can make up what you might lose on the OW), and stick whatever's left over on the higher dROI bonds.
Personally, the way I play day to day depends on how much time I think I can/want to play. If you have a lot of time to spend, go aggressive. If you log on once a day at the most, guaranteed might be better for you. Or play a hybrid of both...whatever keeps you interested.