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world stock market, us stock market
Begin part 2 of 3
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NOTE: PART 2 PRECEDES PART 1 THIS EVENING
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CONTINUING PLAY LIST
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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
AAPL 10/14 Trnd Rv 101.89 +3.94 102.32 119.95 70M 60M 97.45
Buy Not Issued. Big reach lower and recovered positive on volume. It is a buy on a continued move higher.
AGU 10/10 Trnd Rv 35.62 +1.35 41.11 49.75 8.8M 10M 38.65
Current. Agriculture did not part as much as the other sectors, but like how AGU is still working on its lateral box pattern
AVAV 10/15 DB hdl 31.20 -0.79 33.38 38.45 371K 350K 31.44
Buy Not Hit. Still in the pattern after reaching lower and recovering to the 50 day EMA on solid volume. Just waiting to see if it will show us a break higher.
BRKL 10/14 Dbl btm 10.91 -0.06 11.68 14.95 654K 1M 10.86
Buy Not Issued. Reached lower and recovered to the 50 day EMA on average volume, still setting up for a breakout. At this point all stocks have to show us the money before we buy.
CME 10/01 Trnd Rv 373.34 +13.49 414.45 448.00 1.3M 1.8M 391.88
Current. Reached lower then reversed to close over the 50 day EMA (368). CME remains in excellent position to race higher out of this box pattern/lateral consolidation along that support level.
DIA 10/15 Trnd Rv 89.87 +5.00 84.08 94.85 60M 40M 88.85
Target Hit. Moved in early, caught the ride higher, took some of the 39% option gain off the table late, leaving the rest to run higher.
DUG 10/14 Test 50 52.55 -10.10 48.57 59.00 23M 25M 59.65
Raced higher past the target on up close to 70 and started to stall so it was time to take gain.
FCX 10/08 Trnd Rv 33.39 +0.28 45.94 54.95 36M 22M 41.44
Current. Did not participate in the rally though it came back from some selling that took it to a new 2008 low. After gapping lower Wednesday FCX has not left us much to work with but the rebound show life is still there.
GLD 09/27 DB hdl 79.29 -4.02 88.56 99.75 30M 24M 87.48
Current. Sold off but started coming back late, and as the rest of the world remains in turmoil we are letting this one test (it held the August low) and rebound.
GXDX 10/11 Dbl btm 32.98 -0.12 34.48 39.95 281K 350K 33.78
Current. Sold off then recovered to flat, holding its pattern.
IWM 10/15 Dbl btm 53.71 -1.67 49.65 57.00 206M 150M 51.88
Entered today. Sold off toward the prior low and reversed. Moved in as it started back up on strong volume. Nice high volume reversal in a short double bottom pattern.
JPM 09/29 Dbl btm 40.49 +2.00 44.55 51.88 75M 80M 45.91
Current. Reached way down then reversed nicely. Hit the 50 day EMA (40.87) on the high and faded some, but hanging with UMP as it is one of the chose.
MA 10/15 Trnd Rv 156.68 +3.13 155.88 172.45 5.6M 6M 149.72
Buy Not Issued. Gapped higher, gave it back, then recovered to close higher on rising, above average volume. Nice lateral box consolidation and a very nice setup to rally out of here.
MA 10/08 Trnd Rv 156.68 +3.13 168.77 184.45 5.6M 6.5M 168.28
Current.
MANT 10/10 Test 20 51.00 +2.34 50.38 58.88 489K 385K 47.22
Buy Not Issued. Sold well below the 200 day SMA then reversed to close higher on a very strong shot of volume. Nice double bottom at the 200 day and as MANT continues higher it can give us a trade up to 55 to 58.
MON 10/08 Trnd Rv 78.25 -0.81 86.68 99.45 20M 20M 89.44
Current. Did not participate in the rally as the ag stocks were laggards, but it recovered after a test lower and on very strong volume. The closing prices are in a laterally consolidation the past two weeks though it is not as clean a pattern as others similarly situated. MON needs to show us the upside from here.
MOS 10/10 Trnd Rv 33.16 -0.72 40.44 49.45 23M 20M 41.88
Current. Another ag stock that didn't participate in the Thursday recovery, but its lateral box pattern is very solid. It tested the bottom of the pattern Thursday and now it needs to show us a move upside once more.
MU 10/04 Cup 4.05 -0.01 4.95 7.94 36M 30M 4.60
Buy Not Hit. Holding in the middle of its 7 week lateral base. Still waiting for a break higher.
PETS 09/18 Test 18 13.86 +0.84 16.08 19.68 995K 450K 15.08
Current. Bounced off the 200 day SMA (13) on the strongest volume in 5 months. Hit resistance at 14.20ish on the high and this is a point it needs to clear on a bounce.
QQQQ 10/15 Dbl btm 32.26 +1.66 31.21 35.55 492M 325M 30.11
Buy Not Issued. Reached lower and reversed higher on volume. Showing a big doji on the second leg of a short double bottom. Moved the buy point and if it continues we move in.
QQQQ 10/11 Trnd Rv 32.26 +1.66 32.88 39.31 492M 300M 34.31
Current.
QQQQ 10/08 Trnd Rv 32.26 +1.66 33.58 39.31 492M 300M 34.31
Current.
QSII 10/11 Test 20 37.96 +2.96 40.78 46.95 607K 600K 40.68
Current. Tapped the 200 day SMA on the low (34) and rebounded nicely after gapping and tumbling Wednesday. Good start to a new move. Now it needs to keep it going.
RIMM 10/13 Dbl btm 59.24 +3.49 60.77 72.00 35M 30M 57.55
Buy Not Issued. Nice doji in its lateral consolidation/short double bottom at the 2008 lows.
SF 10/11 Test 20 44.13 +3.91 44.44 54.95 423K 550K 42.08
Buy Not Issued. Reached lower and reversed off the 90 day SMA on solid, average volume. If it can continue it is a buy as SF can rip off big chunks of real estate when it starts moving.
SNDK 10/08 Test 50 16.49 -0.11 18.88 22.95 9.3M 18M 17.56
Buy Not Hit. Losing interest in SNDK as it continues to bleed lower on below average volume. As we are losing interest it is likely ready to make the break higher. Aggressive entry is on a higher volume break over the 50 day EMA (17.92).
SPTN 10/13 DB hdl 26.25 +3.21 26.31 30.45 493K 275K 24.47
Buy Not Issued. Solid volume again as SPTN recovered from the Wednesday pre-earnings selling. Nice gain but it ran into the same congestion from early October and faded. If it holds here and continues the move then it is a buy, but if the rest of the market rallies SPTN and food stocks may stall a bit before they move again.
SPY 10/15 Dbl btm 93.77 -6.08 89.74 99.75 704M 450M 91.84
Entered today. Nice test lower toward the early October low and reversal. We moved in as it reversed and considered taking some of the 31% option gain a la DIA, but decided to let it run a bit higher before that given the nice little double bottom here.
SVR 10/13 Dbl btm 18.31 +1.09 19.11 23.45 1.5M 1.4M 17.77
Current. Gapped lower but a solid recovery through the 200 day SMA and in good position.
THOR 10/11 Test 20 27.00 +2.27 25.72 29.91 1M 1.2M 25.34
Current. Nice recovery after an early reach lower, coming back on stronger, above average volume.
THS 10/01 Asc Bse 28.78 +1.48 31.25 35.88 827K 475K 29.66
Current. Nice strong volume jump off the 90 day SMA pushes THS back over the 50 day EMA (28.54).
TSO 09/08 Trnd Rv 9.90 +0.88 20.03 24.55 11M 9.6M 18.63
Current. Made a higher low and posted a gain on rising, above average volume. Much better action as TSXO is moving in a lateral box, a positive pattern.
USB 09/30 Test 50 30.87 +0.74 36.69 42.75 21M 30M 34.31
Current. Big reach lower but recovered. Still below the 200 day SMA (31.91), a key resistance point, but USB remains in good position to move higher.
USNA 10/10 Test 50 42.99 +2.64 42.11 48.48 254K 400K 39.16
Buy Not Issued. Good recovery on lower but still above average volume. Hit the recent highs and backed off to close. If USNA can continue on from here it is still in an excellent pattern and a buy.
WFC 09/23 Test BO 33.90 +0.55 36.94 41.85 74M 70M 31.68
Current. Big reach lower along with most financials, but held on over the 200 day SMA and reversed for a gain, keeping its pattern going.
WFC 09/06 Rev HS 33.90 +0.55 33.44 37.95 74M 55M 31.68
Current.
Downside Plays
Stock Date Play Close +/- Pivot Tgt Vol TgtV Stop
BIG 10/14 Put 22.68 +2.63 22.94 20.34 5.6M 3.5M 24.08
Buy Not Issued. Bounced off the support at 20 on some big volume. It was time to exit if you were in.
OSG 10/14 Put 42.79 +2.66 46.96 39.55 717K 1M 41.11
Hit the target on the low and bounce higher to close. Still likely to sell further as the dry ship price index hits a 5 year low.
XTO 10/14 Put 29.60 +1.81 32.31 27.22 23M 20M 28.85
Sold down to the target and started to rebound on strong volume. Held above the prior low and bounced so time to take the gain.
End part 2 of 3
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world stock market
us stock market
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