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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 11/01 DB hdl 80.49 -5.80 108.74 124.75 61M 65M 107.44
Current. Broke below the recent lows with a gap. There will be a rather quick rebound to test and that will be a better place to move out if it does not break on back through.

AAPL 10/14 Trnd Rv 80.49 -5.80 95.12 119.95 61M 60M 107.44
Current.

ADM 11/11 Trnd Rv 21.92 -0.22 24.78 29.95 14M 1.2M 24.11
Current. After the violent Wednesday close ADM held up quite well, tapping the 50 day EMA on the low and bouncing some. Will have to eat even in Great Depression II so ADM still looks good to us despite the Wednesday drop.

AFAM 11/13 Test 50 39.27 -3.50 45.77 57.95 882K 400K 42.57
Buy Not Issued. Dropping. Looks as if people don't even want to take care of their parents in the future.

ALK 10/18 Rev HS 22.01 +1.19 25.49 30.45 1.7M 1.6M 24.48
Exited. Tried to bounce but back peddled from the bounce so we closed it. Will see how it recovers; with oil diving its margins will improve - - if it can find passengers to fly.

APC 11/05 DB hdl 29.43 -6.53 35.87 41.95 14M 13M 38.58
Exited. Took the rest off the table with the gap lower and gut-wrenching fall.

CASY 11/14 Rev HS 27.74 -0.85 30.49 36.75 1.1M 855K 28.25
Current. Fell hard but it also held the 90 day SMA on the close. Still in its uptrend.

CBST 11/13 Test BO 22.07 -0.40 22.84 26.95 2.2M 1M 21.24
Buy Not Hit. Gapped lower but showed a big tight doji at support. Moved the buy point to take advantage of a jump higher off of this pullback that has not taken CBST out of its base.

CEPH 11/14 DB hdl 70.32 -3.95 75.57 86.95 2.6M 1.6M 72.54
Current. Gapped and sold off but found some support at 70. Considering all of the other stocks this was not bad action so decided to leave it.

CHK 11/08 DB hdl 13.98 -5.32 22.38 29.95 38M 40M 20.81
Buy Not Issued. Dropping.

CHK 11/01 DB hdl 13.98 -5.32 24.87 29.95 38M 40M 22.92
Exited. Gapped, sold, tried to bounce on the auto deal but started to fade so we closed it.

DIA 11/18 Rolling 76.06 -4.30 83.78 89.92 78M 500M 81.78
Current. Broke the lows. Will test so decided just to wait for what is likely to be a wicked up side bounce to get a better exit point and to take some more positions when it does.

DLTR 11/06 DB hdl 34.18 -2.74 40.08 47.95 4.8M 3M 37.27
Buy Not Issued. Sold to the 200 day SMA on the close. Dropping but also keeping an eye on it to see if it rebounds and looks good enough to give us a buy to play on the bounce.

EMS 11/08 Test BO 33.34 -1.04 35.20 41.38 156K 450K 35.88
Current. Down but bounced smartly off the 50 day EMA from the session low (32.26) so saw no reason to close EMS. Indeed we are going to look for more positions as it bounces as market and investors need its services.

EPIQ 11/17 DB hdl 14.70 -0.12 14.98 17.95 395K 450K 13.93
Buy Not Issued. Very nice action in a very weak market.

EWBC 10/29 Trnd Rv 11.58 -2.11 16.25 19.89 1.9M 2M 16.28
Exited. The regionals finally cracked like a tired Tour de France cyclist on the Pyrenees slopes.

FDO 11/11 Cup hdl 25.07 -1.41 28.30 33.95 7.4M 5M 26.32
Current. Clinging to the uptrend but it sold on strong volume. Has to hold and recover from here and it can do it.

GOOG 10/29 Dbl btm 259.56 -20.62 370.57 399.75 9.8M 9M 354.88
Current. Gapped lower once more. It is so far gone we are just banking on a rebound to the 10 day EMA near 300 off of the harsh market selling.

GXDX 11/17 Test BO 31.36 -2.60 36.21 41.95 498K 345K 34.89
Buy Not Issued. Dropping for now. Will let it test its 200 day SMA and see how it sets up off of that.

HAL 10/20 Dbl btm 13.46 -2.72 18.71 25.95 24M 26M 18.48
Exited.

HMSY 11/12 DB hdl 26.00 +1.65 25.84 29.95 827K 375K 24.62
Buy Not Issued. Not bad at all both volume and price-wise but finished well off the high. Great action given the market, but want to see it sustain this move Friday or early next week before we step in.

HOTT 11/18 Rev HS 6.17 -0.93 7.51 9.85 2.6M 1.2M 6.98
Buy Not Hit. Dropping. Earnings were pretty good and HOTT was up early. The key, however, is that it was down and ugly on the close.

LHCG 11/11 Test BO 28.97 -2.68 32.98 39.75 377K 400K 31.91
Current. Held the 90 day SMA on the close and that leaves it near the top of its base so decided to leave it.

LMNX 11/12 Test BO 19.29 -1.31 23.45 27.21 368K 500K 21.12
Exited. Not too luminous.

MITI 11/10 Test 50 4.37 +0.38 4.11 5.11 178K 350K 3.89
Buy Not Issued. Holding in pretty nicely on rising, average volume. Could easily give us the trade up to 5ish.

MON 10/28 Dbl btm 66.26 -3.81 85.88 98.00 11M 12M 89.91
Exited. Rallied but then started to fade at prior support so we closed it.

PCLN 11/17 Trnd Rv 52.95 -2.30 56.51 64.00 1.9M 3M 53.11
Current. Surged then faded for a loss on rising trade. Decided to stick with it nonetheless as it acted very well compared to other stocks.

PETS 09/18 Test 18 17.34 -0.40 16.08 19.68 1.1M 450K 17.78
Current. Held nicely at the 18 day EMA on the close on a surge in volume. Nice consolidation here at near support.

QCOR 10/16 Cup hdl 7.78 -0.65 7.59 9.21 1.7M 1.2M 8.31
Current. Sold on rising, above average volume, bouncing off a tap toward some support at 7.50 (50 day EMA at 7.44). May have to base a bit but still looks solid.

RIMM 11/19 Dbl btm 41.52 -3.81 43.55 57.95 30M 40M 40.50
Buy Not Hit. Sold off but on lower, below average volume. Moved the buy point lower as RIMM has shown great strength in this market and with a violent upside relief move coming it can make a higher low and lead the techs on that move.

RRC 11/14 Trnd Rv 31.71 -6.82 40.81 49.88 5.4M 5.5M 38.42
Exited. Ran out of range and tanked.

SLB 11/13 Dbl btm 39.60 -7.70 52.08 62.95 27M 18M 49.77
Buy Not Issued. Dropping.

SMG 11/17 Cup hdl 25.62 -1.26 28.31 33.95 866K 1.2M 26.33
Buy Not Issued. Letting it test and consolidate toward the 50 day EMA (25) and then we see how it recovers from there.

SPN 11/04 DB hdl 11.64 -2.75 16.01 24.95 2.3M 2.5M 16.21
Exited. Not superior action.

SPY 11/18 Trnd Rv 75.45 -6.05 86.31 93.95 815M 450M 80.77
Current. Similar to DIA, with the SP500 breaking its 2002 lows there will be a vicious upside test off this oversold condition.

SRCL 11/14 DB hdl 54.99 -4.25 59.03 67.95 2.8M 1M 58.87
Current. SRCL was holding up until very late in the session when it was tossed in the refuse can as well. Closed just below the 200 day SMA (55.76). Will see if it can recover that level Friday for a one-day outrider that we can somewhat ignore.

SSO 11/18 Rolling 19.01 -3.17 25.04 28.52 183M 90M 21.97
Current. Same as SPY with a wicked reversal to the upside likely to come and test the breakdown below the 2002 lows.

TFSL 10/30 Test BO 12.66 -0.06 13.51 16.31 1.3M 1M 12.56
Current. Not bad at all for a bank.

TS 11/15 Trnd Rv 17.90 -2.12 22.88 29.45 4.8M 6M 21.38
Buy Not Issued. Dropping.

WCN 11/06 DB hdl 31.69 -1.14 34.92 39.95 1.2M 1.4M 34.12
Exited. Below the 200 day SMA so took it off.

WFT 11/10 Rolling 9.70 -1.93 13.25 19.95 18M 20M 12.91
Exited. Not weathering the energy downturn well.

XOM 11/18 Trnd Rv 68.51 -4.91 77.54 93.88 77M 65M 73.38
Buy Not Hit. Tanked. May need to look at this one downside.

XTO 10/29 DB hdl 26.71 -6.15 34.70 40.95 14M 20M 35.45
Exited. Got the heck out of Dodge.

Downside Plays
Stock Date Play Close +/- Pivot Tgt Vol TgtV Stop
IDXX 11/10 Put 27.44 -3.29 33.51 28.55 1.6M 855K 28.44
Target Hit. Took some nice 70+% gain as IDXX tanked.

LH 11/19 Put 58.89 -1.47 60.07 56.00 2.1M 1.5M 61.33
Buy Not Issued. Could have entered this downside play but with the market so volatile and a breach of the SP500 2002 lows along with a DJ30 break of its lows we are anticipating a violent rebound so decided just to wait a bit on this and other downside plays instead of trying to catch the end. If you are in it, great as it is doing well to the downside. Another push lower and look to take some gain.

TRV 11/19 Put 34.84 -2.45 36.97 32.55 14M 8.2M 35.45
Similar to LH. Strong volume selling and on another push lower Friday early it is time to take some gain as there can be sharp covering rally ahead of the weekend preceding a short holiday week.

End part 2 of 3


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