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us stock market, trade stock
Begin part 2 of 3
CONTINUING PLAYS TABLE
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LEGEND FOR CONTINUING PLAY TABLE
DATE: date play first appeared on report.
PLAY: Denotes the type of pattern or play.
Upside play types: Asc Tri=Ascending triangle; BO=Breakout; Cup=Cup base; Cup hdl=Cup w/handle; DB hdl=Double bottom w/handle; Dbl btm=Double bottom; Flat=Flat base; FlyPlat=Flying Plateau; Pennant=Pennant; Rv H&S=Reverse head & shoulders; Saucer=Saucer base; Test 18=Testing 18 day MVA; Test 50=Testing 50 day MVA; Test BO=Testing the breakout (could be 10 day MVA test, etc.) Downside play types: CCall=Covered Call; Dsc Tri=Descending triangle; Dbl Top=Double top; H&S=Head & shoulders; Put (generic downside);
PIVOT=Buy point
Tgt=Target stock price for the play. Applies to stock and options.
Vol=Volume for the most recent session.
TgtV=Target volume to enter the play.
Stop=Stop advisory point. This is advisory and we may or may not exit a play if it hits this level depending upon Market conditions.
PLAY STATUS: Buy not hit (stock has not hit buy point); Buy not issued (stock has hit buy point but did not enter due to weak volume, poor intraday action, poor Market action); Current (ongoing play already entered); Entered today (entered the play that session); Exited (closed the position); Target hit (play hit initial target; will note if took all or partial gain or let run further); Trailing stop (exited using a trailing stop loss).
Upside Plays
Stock Date Play Close +/- Pivot Tgt Vol TgtV Stop
BRKL 10/02 DB hdl 10.93 -0.03 11.31 14.95 840K 1M 10.52
Buy Not Issued. Regional bank here with a step laterally with a doji. Tapped 200 day SMA and rebounded on big volume. Moved the buy point lower to give us a good entry as market recovers.
BWLD 10/01 Test BO 35.03 -0.78 39.22 46.38 1000 950K 36.47
Buy Not Hit. Gapped lower, sold off nastily, then recovered pretty furiously on volume and held its 90 day SMA. Promising but has to recover over 38.0 to get back into the uptrend.
BXS 10/04 Asc Bse 27.55 -1.04 29.31 34.95 510K 1.4M 27.26
Buy Not Hit. Modest selling with market but bounced nicely off the late September low and 50 day EMA at 25.71. Solid Asc bse, but not much trade so will see if it can continue this bounce from here this week and pick up the trade to give us the buy.
CFR 10/02 Cup 54.54 -1.75 61.87 69.95 519K 1M 55.44
Current. Gapped lower, held key support and started to bounce. With the market so oversold did not see this as a good time to close it. At solid support here from the 90 day SMA and 200 day SMA so looking for CFR to continue to bounce here in early October.
CHTT 09/15 DB hdl 72.13 -3.60 76.11 86.45 434K 450K 78.21
Current. Big selloff, but then rebounded to hold the 50 day EMA on the close. Big recovery through the session after tapping the 90 day SMA at 67.50 and looking for CHTT to continue its rebound from here.
CME 10/01 Trnd Rv 403.85 +41.55 404.22 448.00 1.6M 1.8M 391.88
Buy Not Issued. Surged through the session off the 50 day SMA as support and posting some impressive gains. On rising above average volume as well and if it can continue uphill past 410 its in good shape for the buy.
CNMD 09/20 Asc Bse 28.24 -1.81 30.33 33.00 338K 400K 29.35
Buy Not Issued. Gapped lower and sold past the 90 day SMA as key support so no choice but to drop it. Looking good to lead a surge back up though so will keep a close watch on it.
DUG 09/30 Rolling 49.00 +3.84 40.65 44.88 27M 25M 43.21
Target Hit. Took the 150% option, 28.9% stock gain on DUG Monday as it gapped higher and surged through the session on rising above average trade.
GLD 09/27 DB hdl 84.28 +1.69 88.56 99.75 22M 24M 87.48
Current. Gold is up but it was off its highs as it has a big couple of days on the European meltdown. Key level to get through here at 88 and the 200 day SMA(88.15) on the upside.
HCBK 09/11 Cup hdl 18.54 +0.09 19.38 22.95 7.4M 14M 18.91
Current. Doji step laterally along the 50 day EMA with below average trade Monday. Holds the moving average as key support here nicely. Just needs to pick up trade and bounce off the moving average and get out of this consolidation move from late September.
JPM 10/04 Test BO 44.00 -1.90 46.77 53.65 63M 72M 45.11
Buy Not Hit.
JPM 09/29 Dbl btm 44.00 -1.90 44.55 51.88 63M 80M 45.91
Current. Nice recovery after gapping lower, testing the 200 day SMA. After hours was back to 43 thanks to BAC common stock issuance, dividend cut.
LHCG 10/02 DB hdl 27.02 -1.98 30.69 36.95 287K 400K 28.54
Buy Not Hit. Will see how it recovers after a bit of rough moves downhill through Monday to hold the mid September low. Aggressive can pick it up on a move over the 50 day EMA at 28.0ish.
MCD 09/16 Asc Bse 57.15 -3.08 62.04 72.95 16M 13M 59.77
Buy Not Issued. Overcooked the fries. Huge gap lower and some rough downsides from there to get the axe Monday.
MSFT 10/04 Flat 24.91 -1.41 26.94 31.95 146M 115M 25.57
Buy Not Hit. Aggressive can move in at 26.78. Sold back down to the bottom of the range on the close with huge trade after rebounding off the intraday low and will see how it does here near the mid September low.
MU 10/04 Cup 4.06 -0.38 4.95 7.94 28M 30M 4.60
Buy Not Hit. Sold back to the bottom of the range but still in good shape in its pattern. Shows how sold out it is that it did not break to a new low as the market did.
MVL 09/20 Rolling 29.74 -0.98 31.11 35.95 1.7M 1.4M 29.91
Buy Not Issued. MVL using the 200 day SMA as resistance and selling hard through the Monday session. Dropped it here as it had to recover the key moving average as support.
NDN 10/04 DB hdl 10.33 -0.32 11.31 14.75 2.1M 2.3M 10.42
Buy Not Hit. Gapped lower and sold back to the 50 day EMA intraday at 9.5 and bounced nicely to hold just under the 18 day EMA. On rising just above average trade and need to see it continue its bounce from here past light resistance from the 18 day EMA soon.
PETS 09/18 Test 18 14.28 -0.02 16.08 19.68 380K 450K 15.08
Current. Good recovery after tapped the April/July up trend line. Holds its key 90 day SMA as well and on just above average trade. Needs to hold the line here some more this week and continue its bounce.
PHHM 09/30 DB hdl 9.70 -0.02 10.55 13.75 205K 250K 9.81
Buy Not Hit. Very tough, PHHM. On above average trade and holding its 50 day EMA intraday nicely as well. Will see how it does as it continues along its consolidation range near 10ish.
SF 09/24 Test BO 44.33 -4.32 50.05 59.89 287K 500K 47.22
Buy Not Issued. Not in bad shape at all after gapping down and selling to the prior September low as support. Will see how it holds and if it can give us a break higher.
THS 10/01 Asc Bse 29.88 -0.61 31.25 35.88 682K 475K 29.66
Current. Gapped lower with a doji to the 10 day EMA and held the moving average very well as support. On rising above average trade. Nice Asc bse and looking for THS to continue uphill again soon.
TSO 09/08 Trnd Rv 12.22 -1.70 20.03 24.55 12M 9.6M 18.63
Current. Gapped lower as with most stocks and was coming back late. With the gap and the market oversold we were not going to sell it. Will how see how well it can rebound.
USB 09/30 Test 50 34.80 -0.26 36.69 42.75 18M 30M 34.31
Current. Not bad with the gap and tap at the 50 day EMA and rebound and watching for USB to continue uphill from here through early October once trade picks up.
WBSN 09/18 Test 50 17.95 -1.51 23.75 28.55 1.2M 700K 22.87
Current. Has really crapped out, gapping below the 200 day SMA on us. Re-bounced some off the lows, holding some support at 18. Just looking for a heck of a relief bounce here to give us a better exit point.
WFC 09/23 Test BO 33.64 -0.92 36.94 41.85 59M 70M 34.35
Current. Gapped as with most big banks. Held the 50 day and bounced. At 32.95 after hours thanks to BAC news but not in bad shape.
WFC 09/06 Rev HS 33.64 -0.92 33.44 37.95 59M 55M 36.94
Current.
WTNY 10/02 Trnd Rv 21.95 -1.13 25.11 29.95 534K 1.5M 23.65
Buy Not Issued. Dropped WTNY Monday as it continued lower past the key 200 day SMA and 50 day EMA on rising above average volume.
Downside Plays
Stock Date Play Close +/- Pivot Tgt Vol TgtV Stop
CEDC 09/23 Put 38.00 -4.84 45.11 39.31 1.4M 1.4M 46.62
Buy Not Issued. Gapped lower not giving us an entry and sold through the session but bounced off price support at 35. Key to see it push past support there as it continues lower through early October. Watching for the buy at that point.
EEV 10/01 Test 50 135.18 +18.88 103.11 120.00 3M 1.8M 108.48
It was time to take some money off the table and sent an alert to this effect today as market bottomed after lunch & started to bounce.
SDS 10/01 Test 50 84.34 +7.23 70.88 78.95 69M 40M 74.77
As with EEV, it was time to take some of the short term gain and issued an afternoon alert as to this effect.
SDS 09/22 Trnd Rv 84.34 +7.23 70.86 75.75 69M 35M 75.32
Target Hit. Took some 205% gain on SDS as it gapped higher and climbed through the session for a solid spot to take out gains with SP500 continuing lower early this week.
End part 2 of 3
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