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CONTINUING PLAY TABLES

You can view the continuing play table in three different formats.

1. Text (below)
2. HTML (use the following link)
3. Spreadsheet download (use the following link)


* * * * * HTML CONTINUING PLAY TABLE * * * * * *

HTML CONTINUING PLAY TABLE. Click the following link to view the Continuing Play Table in HTML format that includes additional information, e.g. option tickers, after hours pricing:

http://investmenthouse1.com/ihmedia/AlertsTable.htm

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* * * * * * 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://investmenthouse.com/ihalerts/table.php

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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 07/08 Rolling 253.51 +3.00 138.55 149.91 19M 23M 255.11
Current. Gapped down to the 50 day EMA (247.54), held, and then bounced firmly into the finish. Pretty solid action this week as AAPL tested back to the April gap point and held it, and now it is bouncing. As it is showing life at an important level, we leave it alone and see if it keeps to the upside early next week.

AAPL 04/15 Test 20 253.51 +3.00 119.69 132.77 19M 25M 255.11
Current.

AKAM 05/06 Flag 44.30 +1.47 38.14 44.75 4.2M 4.5M 40.62
Target Hit. Took part of 16+% stock, 100% option gain with the newer position after this shot higher Friday. Solid action as it moved to close for a new high, past the early June peak (43.08) from the beginning of the month. Held all the gain into the finish, and now we just see if it can keep it up to start next week.

AKAM 04/05 Flat 44.30 +1.47 32.84 39.89 4.2M 4.5M 40.63
Current.

ANN 06/10 ABCD Up 21.13 -0.02 21.44 24.94 1.5M 2.8M 19.74
Buy Not Issued. Gapped down and then bounced to finish flat, but is still moving slowly at the 50 day EMA (21.16). Still in solid position to move up from the ABCD pattern, but have to see that it can stick the move past this point first. Watching for that the first couple days after the weekend, and ready to move in if it starts to bounce.

ARO 05/22 Test 20 30.45 +0.53 29.18 33.44 3.2M 3M 28.47
Current. Nothing wrong with this move as ARO continued higher to cut above the prior June peak (30.01). Not a huge volume move, but heading in the right direction so we leave it alone. For now we see how it starts the week, and how it looks at the next resistance point at 32ish with the April peak.

BIDU 06/10 Test 50 72.85 +0.22 72.46 83.94 8.6M 18M 69.88
Entered today. Went ahead and took a partial a bit below the buy point as BIDU held its ground with a bounce up from the 18 day EMA (71.45). Stuck the move into the close, looking good as it comes off that solid Thursday bounce. Now we see if it keeps it up to kick things off after the weekend.

CHK 06/10 Trnd Rv 24.64 +0.23 24.40 28.54 11M 23M 22.74
Current. Opened a little lower, but powered back to finish modestly higher on the day. Not a huge move, still holding under the early June high, but trying to work for us. Will let it try for more next week, but do want to see more volume with this bounce attempt to give it more pop.

CI 06/08 DB hdl 34.49 +0.35 34.44 39.91 2.4M 5M 32.78
Entered today. Tested back a little below the 50 day EMA (33.81) and then jumped, sticking solid gains into the finish. Great way to end the week after testing for a couple days, and this move gave us the buy. Now just letting it work for us next week.

CMG 05/10 Flag 149.48 +3.34 138.71 158.42 753K 775K 142.11
Current. Gap down to the 10 day EMA (144.16), held, and then bounced back to finish in the green. Pretty nice week after turning back higher Tuesday, and now challenging the early June peak (148.90). This one did show better volume than many others Friday, so will see if that gives it enough heat to keep it running next week.

CMG 01/26 Test BO 149.48 +3.34 98.45 110.00 753K 550K 142.11
Current.

CMI 06/10 Pennant 72.22 +1.74 71.98 81.44 2.6M 4M 66.94
Entered today. Gapped lower to start the day, but reversed solidly to take a nice step higher. Held the move into the close, and picked up a partial with this move. Now we see how it starts next week as it is set up nicely.

CNC 06/07 DB hdl 22.91 +0.14 23.88 27.94 209K 950K 22.41
Buy Not Hit. Down for a couple sessions, then held up as it needed to Thursday, showing a doji at the 50 day EMA (22.60). Stuck to that support and bounced back up Friday, just not enough power to hit our buy. Still, doing what it needs to so we keep watching it. Will see if it continues in this direction Monday, preferably with more volume, and can stick a move to our buy point. That is our cue to move in.

DECK 06/07 PreSplt 159.21 +6.36 144.77 174.93 973K 615K 141.21
Buy Not Issued. Gapped Thursday and was down early Friday, but not enough to give us a good entry. Dropping it.

DLTR 05/29 PreSplt 63.06 +0.44 60.89 67.75 985K 1.6M 61.18
Current. Mild upside push to finish the week, not able to do a whole lot under the May highs at 63.50ish. Still in good shape overall, but that is a key point to move past keep the play moving. Will see if it shows any life at that level early in the week.

DTG 06/10 Pennant 45.23 +0.19 45.57 52.24 362K 1.7M 42.54
Buy Not Hit. Just barely in the green Friday as it continues along under the 18 day EMA (45.44). Really trying to get a move on, but the lower volume action is just killing it. Will see if it can start to break out of the pennant from here, but would really get a boost with heavier trade. Will see what we get.

FFIV 06/05 Test 50 69.95 +1.85 69.57 78.95 1.3M 1.6M 64.88
Entered today. Held good support early in the week and then gapped up Thursday. Gave a test to the 50 day EMA (67.09) Friday and then bounced back, holding the move into the finish. This is the move we were waiting for, and so picked it up. Now just letting it run for us and seeing how it does.

GLD 05/24 Test 18 120.01 +1.04 117.32 122.24 7.8M 38M 116.89
Current. Gapped, tested back, and then bounced to finish the day with a doji. Nice little jump back to the 10 day EMA (119.63), even as the dollar was stronger. This one had a little three day pullback before this move, and now it may be ready to challenge the May high again. Will see if it takes that step forward Monday to show that.

HNT 06/08 Cup hdl 26.71 +0.38 26.10 29.75 1.6M 2.1M 25.39
Current. Gapped lower like most others, but solid volume as HNT climbed to finish the day higher. Nice way to cap a nice week, and now HNT just has to deal with the intraday highs from January (26.73). Seeing if it takes out that level Monday and sticks it.

ILMN 05/11 ABCD Up 44.99 +1.05 42.74 47.95 1.9M 2M 42.11
Current. Slow start to the week, but a nice way to end things with the Thursday/Friday gains. Volume held in there just fine with this push higher, and with that we just leave the stock alone. Will see if it can keep showing strength to start things Monday.

IRBT 05/06 Flag 20.11 +1.04 19.22 21.94 67K 220K 20.11
Current. Pulled back and then spent a few days along the 50 day EMA (18.82) support. Held that support, as well as gap points from earlier in the month, and then gave us this strong bounce back Friday. Do like the size of the bounce and how it stuck into the close, but have to be wary as volume was much lower. So, seeing if it can keep it up Monday, or if it fades now.

IWM 05/24 ABCD Up 64.94 +0.87 65.48 73.95 65M 100M 64.21
Current. Showed life Thursday as it gapped and ran higher, but it did stop at the 10 day EMA. Not a problem Friday, as IWM gapped back to test the 200 day SMA (63.22) and then bounced solidly from there, finish higher. This one is moving like it needs to Friday, but there are still several problems. Most importantly, IWM bounced on lower volume, and is now snugged up under the down trendline (drawn through the April/May series of lower highs). Will see if it can continue Monday, but it does have its work cut out to keep the bounce going. Keeping an eye on it.

JOYG 06/02 Rev HS 54.57 -0.24 52.45 60.95 2.7M 3.8M 48.78
Buy Not Issued. Gapped down, but held the 50 day EMA and bounced. Just out of the range we can buy in, so have to drop it for now.

LNCR 06/01 PreSplt 49.43 +1.45 48.19 53.95 1.3M 1M 46.18
Current. Gapped lower, but held the 18 day EMA (47.00) and then ripped back to the upside. Swift move higher on above average volume, and this closed LNCR past the early June peak. Nice way to cap things Friday, and now seeing if the stock keeps it up next week.

LULU 06/08 Test 50 41.76 +0.93 39.93 49.88 1.6M 1.8M 37.13
Buy Not Issued. Not a bad week for LULU, and took a decent sized bounce higher Friday. Just couldn't buy it at this level, but it may give us a test to start next week. The stock is still in play if it can give us a good test, so watching to see what it gives us to work with.

NEM 04/14 Flag 56.25 +0.24 55.48 62.95 4.8M 10M 55.22
Current. Similar to the Thursday action as it was up and down intraday before settling with a doji. Just holding flat, with trade the only thing that is declining. Still in position to start back up, but has to show life over the 10 day EMA (55.38) early next week to get that going.

NETL 05/19 Dbl btm 28.36 +0.66 28.98 34.89 862K 2M 27.53
Current. Tested early in the week to hold those May lows, and then started to bounce Thursday. Kept it going Friday with better, though still below average, volume. Doing its job so we give it more time, but it does have to clear above the 50 day EMA (28.82) now. Watching how it reacts at that point with the next push higher.

NFLX 05/11 ABCD Up 120.69 +2.03 104.89 122.00 4.1M 3.2M 112.62
Current. Gapped and ran Wednesday, gapped up to a doji Thursday, and the kept pounding higher Friday. Just relentless with the upside the past few days, and is moving with solid trade to boot. Has really showed strength at the May intraday high (119.50), and now another push like this hits our target. Keeping a close eye on it Monday.

NTRI 05/17 Test BO 21.83 +0.40 22.28 28.89 350K 2M 20.48
Current. Held the overlapping 50 day EMA (21.00) and 200 day SMA (20.84) and bounced nicely. Trimmed the fat with the testing early in the week, and now is ready to start running again. Will give it a chance to keep it up Monday, though do need to be away of the lower volume. Will see what it does.

ORBK 06/05 DB hdl 11.59 -0.04 12.02 13.94 83K 125K 11.18
Buy Not Hit. Tested back to the 50 day EMA (11.21) and bounced nicely, finishing with a doji. Good way to hold its ground with a bounce off the low, but not the upside shot we needed for it to hit our buy. Still in position, but have to be patient as we wait for the next upside push.

OSIS 06/01 DB hdl 28.15 +0.57 27.05 31.55 152K 275K 26.48
Current. Lower intraday to test at the 50 day EMA (26.61), and then bounced back to finish solidly higher. Nothing wrong with this move, and OSIS is starting to work up through that early April consolidation level. Letting it play out and see if it keeps working for us.

PNRA 05/27 Dbl btm 82.99 +0.53 81.58 88.54 259K 755K 79.77
Current. Gap down and rebound, just barely finish the day higher. Not too bad as volume was down, but we are seeing PNRA start to slow down with the early June peak (82.54). Again, want to see a stronger push past this point, and then have to see the stock move through the April gap down point at 84. Giving it a chance, but keeping an eye on it.

ROST 05/21 ABCD Up 57.33 -0.14 52.87 58.91 2.1M 3.2M 54.57
Current. This one gapped down, surged back, but was not able to stick the entire upside shot. Did not give up much ground to speak of, but starting to slow after the big three day run higher we just saw. So, really ok for now to see if ROST takes a little breather. Will just see that it can hold up at a decent level and then try to bounce back up.

SNDK 05/25 Pennant 44.60 +0.11 45.45 49.89 9M 12M 42.92
Current. Not a big day of gains, but it did move up nicely off the 18 day EMA (43.74) for us to hold its ground. Holding its trend just fine for now after testing early in the week, and we can give it more time to bounce back up. Will see if it does that Monday to take out this horizontal resistance from the April and early May highs.

SNDK 04/29 Flag 44.60 +0.11 39.14 49.94 9M 13M 42.92
Current.

TIE 06/10 BO 19.56 +0.32 19.09 21.94 4.1M 4.5M 17.41
Current. Opened lower, but bounced right back to finish the day in the green. Nice way to end the week, but, like many others, volume did edge back at the end of the week. This one has plenty of room to run, but have to see if TIE can keep to the upside, or if it starts to pause to start things Monday.

UA 06/06 DB hdl 34.34 +1.04 34.17 39.89 1M 1.2M 31.78
Entered today. Short gap lower, but then ripped back up to post solid numbers Friday. Impressive day with the strong volume, and so we went ahead and picked it up. Now we see if it can keep showing this for us next week.

USO 06/10 Rolling 34.23 -0.54 34.74 38.18 9.7M 16M 33.52
Current. Testing now, but pretty much what you would expect so leaving it alone. Gapped down, tapped the 10 day EMA (33.79) on the low, and then bounced to hold the 18 day EMA (34.10) with a doji. This one is also wedged in there right at the early June highs, so we can let it be and see if it bounces back from this range Monday.

WRLD 05/20 ABCD Up 36.51 +1.41 37.18 44.89 177K 500K 34.33
Current. Tested early in the week, held the 200 day SMA, May lows, and then bounced Thursday. Liked what we saw, and then it kept moving Friday to punch through the 50 day EMA (36.14). Looking good, but with the lower volume have to see if it can keep doing its job Monday. Watching to make sure it can keep it up.

Downside Plays
Stock Date Play Close +/- Pivot Tgt Vol TgtV Stop
AAPL 06/01 Dbl Top 253.51 +3.00 255.88 239.11 19M 34M 259.32
Current. Not looking so good for this one. Gapped down, but held the 50 day EMA (247.54) and bounced back to finish the day positive. Also held the April gap level early in the week with the testing before this bounce back so that is not great either. Really have to just wait and see if the lower volume can stall this one out below the April post gap level (259.22). If it cannot start to slow down soon, have to look at shutting it down.

CVS 05/29 BearFla 32.08 +0.18 33.80 30.65 16M 12M 31.64
Current. Climbed again, but lower volume as the upside slows down. CVS is also hitting a resistance point: it is right at that intraday high from Monday, when it gapped down on us. If it can stall out at the intraday high (32.04), it could then get shoved down from the falling 10 day EMA (32.62). Will see if it does anything like that next week.

PCLN 05/29 BearFla 183.91 +2.67 189.64 177.65 921K 1.9M 183.54
Current. No volume with as it bounced, but need to watch this early next week. Want it to stall near the 10 day EMA (183.38), as we do not want it to start up after holding the late May lows early in the week. Need to keep an eye on it to make sure it can stay down. If not

SPY 05/29 BearFla 109.68 +0.53 108.64 104.45 214M 310M 107.92
Current. Gapped down and bounced back, but this one really wasn't able to move significantly higher. As it is holding under the 18 day EMA (109.44) with the lighter trade, we see if it stalls out again. If it can, great; if it does keep showing strength, then we have to be very careful with it.

TEX 05/29 HdShldr 20.40 +0.02 20.81 17.44 2.3M 2.7M 20.82
Gapped down, surged, and then faded back to finish the day flat. There were other stocks much stronger than this one, so do like this action. Just seeing if it can keep stalling out under the 10 day EMA (20.56) and then break back down, or if it will test a little higher first.

ZMH 06/02 BearFla 54.01 -0.05 54.05 50.46 1.6M 2.5M 55.11
Gap down and then reversed, but not able to move past the 10 day EMA (54.17). Showing a little weakness with that move, so it could be ready to stall out again. Just giving it time and will see if it can show us something one way or the other early Monday.

End part 2 of 3


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