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By Lawrence G. McMillan

We are back on a normal publishing schedule for the next two issues.  However, due to travel commitments in May, there will only be one issue of The Option Strategist that month – to be published on May 22nd.  There is some precedent for this in the past, and we will attempt to publish a “double issue” at that time.  As always, the weekly Hotline updates will continue without interruption.

On May 7th, Lawrence McMillan will be presenting the Volatility Capture Strategy to professional money managers in the “NAAIM Shark Tank” – a format similar to the Shark Tank TV show.  Money managers have limited time to explain their system, and then they can be questioned by the managers on the panel (see page 10).

The feature article discusses a rather rare type of buy signal, although its latest occurrence is not off to a good start. 

Our market opinion has turned bearish now that $SPX has closed below 1840 (page 6).

On page 9, there are 3 put-call speculative positions, a put ratio spread in T-Bond futures, and a diagonal spread in IBM.

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