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About the Author Brian Johnson designed, programmed, and implemented the first returnsensitivity based parametric framework actively used to control risk infixed income portfolios. He further extended the capabilities of thisapproach by designing and programming an integrated series of optionvaluation, prepayment, and optimization models.Based on this technology, Mr. Johnson founded Lincoln CapitalManagement's fixed income index business, where he ultimately managedover $13 billion in assets for some of the largest and mostsophisticated institutional clients in the U.S. and around the globe. He later served as the President of a financial consulting and softwaredevelopment firm, designing artificial intelligence-based forecastingand risk management systems for institutional investment managers.Mr. Johnson is now a full-time proprietary trader in options,futures, stocks, and ETFs primarily using algorithmic tradingstrategies. In addition to his professional investment experience, healso designed and taught courses in financial derivatives for both MBAand undergraduate business programs.He is the author of two groundbreaking books on options: 1) Option Strategy Risk / Return Ratios, and 2) Exploiting Earnings Volatility.His recent in-depth (100+ page) article, Option Income Strategy Trade Filters, represents the culmination of years of research into developing asystematic framework for optimizing the timing of Option Income Strategy (OIS) trades.He has also written articles for the Financial Analysts Journal, Active Trader, and Seeking Alpha and he regularly shares his trading insights and research ideas as the editor of traderedge.net/.Mr. Johnson holds a B.S. degree in finance with high honors from the University of Illinois at Urbana-Champaign and an MBA degree with a specialization in Finance from the University of Chicago Booth Schoolof Business.
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