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Strategies & Market Trends : Free Float Trading/ Portfolio Development/ Index Stategies

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From: dvdw©11/27/2011 11:20:16 AM
of 3821
 
Since April 2011, the options market has been forecasting the current reality.

Clearly, the set ups were in place for max obfuscation during what is always tax loss selling season.

Investors & some kinds of portfolio managers want to end the year as close to neutral as possible.

Some of the Intent, is to Put shares to options sellers at higher prices, creating net margin usage where margin usage has fallen substantially across key classes of capital.

The action is in the houses churn function...skewed rules, BAPF regulators and disconnected supply and demand....summarize the current status.
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