|
|
us stock market, trade stock
Begin part 2 of 3
CONTINUING PLAYS TABLE
* * SPREADSHEET DOWNLOAD * * *
The following link is to a spreadsheet download of the continuing play table. It will allow subscribers to sort the data for your personal investment use. This is a service to our subscribers only, and no other use of the information is authorized. Simply click on the link, enter your username and password, and download the spreadsheet!
http://stocksplits.net/ssr/table.php
You will need your password. If you need help click on this link and our automated system will email it to you immediately once you fill in your email address:
http://www.investmenthouse.com/rescue/rescue.php3
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
AFAM 10/11 PreAnn 39.46 +4.38 38.94 44.95 308K 450K 36.55
Entered today. AFAM giving us the buy Monday as it gave a huge gap higher and surged off the 50 day EMA as support. Solid move uphill as it makes a stronger recovery move off the early October low back near 32 and set to head higher from here.
AGU 10/10 Trnd Rv 43.29 +7.59 41.11 49.75 6.2M 10M 38.65
Entered today. Gapped a bit higher and climbed very nicely through the session for some solid gains. Gave us the buy with its nice average trade as it makes its rebound from the early October testing low and looking strong to continue uphill. Just key to see how it does at the 10 day EMA here at the Monday close.
CME 10/01 Trnd Rv 411.44 +18.32 414.45 448.00 1.6M 1.8M 391.88
Current. Gapped higher and reached well lower to the 50 day EMA intraday at 366.65 to rebound very nicely and post some modest gains at the close. On just above average volume here and will see how it does if it can continue higher past the late September high at this mark.
DIA 10/06 Trnd Rv 95.03 +11.28 83.57 99.75 44M 35M 91.45
Target Hit. Took part of the gain as the market and DJ30 shot higher late in the session. Just under the 10 day EMA now so looking to see the rest push uphill past the light resistance here.
FCN 10/11 PreAnn 68.62 +2.25 67.11 77.45 889K 1.2M 62.65
Buy Not Issued. Gapped higher and stalled below the 50 day EMA and the 90 day SMA so did not move into the position and will watch to see if it fills the gap before moving higher.
FCX 10/08 Trnd Rv 45.37 +9.02 45.94 54.95 29M 22M 41.44
Current. Gapped uphill and climbed Monday on above average trade to close at the 10 day EMA and now key to see it push past light resistance from the moving average this week.
GLD 09/29 DB hdl 81.99 -1.23 84.69 97.95 17M 20M 81.47
Buy Not Issued. Sold some more past key support it had to hold from the 50 day SMA and no choice but to drop it for now. Had to see it hold the line there.
IWM 10/06 Trnd Rv 56.98 +4.53 50.28 59.89 121M 155M 53.42
Target Hit. Took part of the gain as the market and DJ30 shot uphill late Monday and IWM closed just under its 10 day EMA so key to see the rest push higher from here.
JPM 09/29 Dbl btm 41.99 +0.35 44.55 51.88 82M 80M 45.91
Current. Even with the rescue plan it still struggled and gave up a lot of the gain as it tapped 44.08 intraday. From there it had to fight and rebound to close positive, but good to see it now above the 200 day SMA and 10 day EMA as support.
MA 10/07 Trnd Rv 173.60 +21.89 162.45 182.75 4.3M 6.5M 167.12
Current. Gapped higher and climbed for some great gains to close just under the 18 day EMA so now key for MA to push higher from here and punch through this resistance.
MANT 10/10 Test 20 53.11 +4.38 50.38 58.88 271K 385K 47.22
Buy Not Issued. Didn't like the volume through most of the day and with other stocks moving decided to go with them instead. Now at the 10 day EMA as resistance and have to see MANT on stronger trade and push past light resistance here to keep us interested.
MON 10/08 Trnd Rv 93.64 +14.98 86.68 99.45 15M 20M 89.44
Current. Gapped higher and surged through the session with the markets help. On strong above average volume and passed resistance from the 18 day EMA so looking good to keep up the solid climb from here.
MOS 10/10 Trnd Rv 44.21 +7.81 40.44 49.45 17M 20M 41.88
Current. Short step higher with some modest gains here and now at light resistance from the 10 day EMA. Watching this fading above average volume as it confronts the moving average and need to see it punch through.
MU 10/04 Cup 4.21 +0.66 4.95 7.94 20M 30M 4.60
Buy Not Hit. Gapped higher and climbed for some impressive gains Monday. Not much trade though and will have to see MU on stronger volume as it continues this move higher this week to give us the buy.
NDN 10/04 DB hdl 10.50 +0.64 10.42 14.75 2M 2.3M 9.69
Buy Not Issued. Big gap higher, big intraday test, and then recovered late. Decided to wait and see how the volatile action shakes out and how NDN reacts Tuesday.
PHHM 09/30 DB hdl 8.75 +0.04 10.55 13.75 152K 250K 9.81
Buy Not Hit. Surprising lack of movement given the market rally; all home stocks were lagging. Still just resting here at its September consolidated lows at 8ish and on above average trade so waiting for PHHM to show a bounce off its solid 90 day SMA at its feet to catch our eye.
POT 10/11 Trnd Rv 105.80 +14.72 93.04 118.00 14M 2.5M 88.94
Buy Not Issued. Gapped higher, tested part of it and rallied back, but the volume was never there on the session. Maybe too cautious on it when it tested, but now it is not something we want to chase so will watch how it reacts Tuesday and if it tests some.
QQQQ 10/11 Trnd Rv 35.13 +3.81 32.88 39.31 276M 300M 34.31
Entered today. Gave us the buy as it gapped higher and pushed uphill through the rest of the session to recover its 10 day EMA. On just above average volume and looking good to keep up the positive action this week.
QQQQ 10/08 Trnd Rv 35.13 +3.81 33.58 39.31 276M 300M 34.31
Current.
QSII 10/11 Test 20 42.59 +4.30 40.78 46.95 706K 600K 40.68
Entered today. Gapped higher and made a strong push higher off the 50 day EMA for some great gains and a nice buy point with QSII on solid above average volume and looking to head even higher from here.
SF 10/11 Test 20 43.90 +3.45 42.84 51.95 385K 550K 40.11
Buy Not Issued. Gapped and was all over the map on relatively low volume so held off to see how it shakes out after the bond market opens.
SNDK 10/08 Test 50 17.18 +1.26 18.88 22.95 9.4M 18M 17.56
Buy Not Hit. Gapped higher and climbed a bit and now at the 50 day SMA so key to see it push past the moving average this week.
SPY 10/08 Trnd Rv 101.35 +12.85 88.14 103.00 443M 500M 95.68
Target Hit. Took part of the gain off the table as the market and DJ30 jumped higher late in the session. Now at the 10 day EMA so watching for the rest to push past light resistance here.
TSO 09/06 Trnd Rv 10.82 +2.46 19.28 23.95 14M 10M 18.69
Current. Gapped higher and looking to try and rally toward the bottom of the July to September range at 15. Will see how it moves from here and key to see it push past light resistance from the 10 day EMA at 12.0.
USB 09/30 Test 50 31.25 +0.89 36.69 42.75 25M 30M 34.31
Current. Wasn't a great day for big banks just yet. Tapped resistance from the 50 day EMA intraday and turned over to close with some light gains. Now holding the 90 day SMA and has to hang on here and continue this bounce from last Friday.
USNA 10/10 Test 50 43.65 +1.76 42.11 48.48 112K 400K 39.16
Buy Not Issued. Gapped higher, tested, recovered, but never any volume so not chasing it. Will see how it does from here once trade picks up in this recovery move from the early October tap at the 50 day EMA.
WFC 09/23 Test BO 30.40 +2.09 36.94 41.85 69M 70M 34.35
Current. Gapped sold off, recovered, etc. and managed to hold over the 200 day SMA on the close. Big banks struggled. Good to see WFC still above the key 200 day SMA and 90 day SMA though so still in decent shape above the key moving averages.
WFC 09/06 Rev HS 30.40 +2.09 33.44 37.95 69M 55M 36.94
Current.
XLF 10/11 Trnd Rv 16.28 +1.18 15.31 18.11 213M 275M 14.24
Buy Not Issued. Gapped higher, sold off, recovered. Financials really struggled despite the G7 agreement to insure interbank loans so waitING until the bond market opens on Tuesday and see how the financials and the financial ETF responds.
End part 2 of 3
|
us stock market
trade stock
|