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The table below illustrates the specific buy and sell dates from the LT Indicant.

Buy Date Buy Price Sell Date Sell Price %-Gain Annual Gain
Nov. 1922 95 Sep. 1929 344 263% 38%
Aug. 1933 102 Sep. 1937 155 13% 12%
Feb. 1944 136 Aug. 1946 189 39% 15%
Aug. 1949 179 Feb. 1969 873 388% 20%
Dec. 1971 890 Apr. 1973 921 3.5% 2.6%
Aug. 1982 901 Sep. 1990 2453 172% 21%
Nov. 1991 2895 Jun. 2001* 10502 266% 37%

* June 2001 listed here for computation purposes, only. The Long-term Indicant has yet to signal "bear."

The average annual gain delivered by the Long-term Indicant is 18% since 1920. Buy and hold would have yielded an 8.6% return during the same time period. If you invested money into the other low risk opportunities, such as T-Bills while out of the market, your average annual gain would have exceeded 22% from 1920 to 1999 using the Dow Jones Industrial Average as the benchmark.

Also, just knowing where the LT Indicant is will help mitigate unnecessary emotions when confronted by wild stock market gyrations.

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