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Begin part 2 of 3

NOTE: PART 2 PRECEDES PART 1 THIS EVENING. THE PART 1 VIDEO MARKET & TECHNICAL SUMMARY IS AVAILABLE AT THE FOLLOWING LINK. PART 1 AND THE TRANSCRIPT WILL FOLLOW.

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The Market Summary video is DIVIDED into component parts: Market Overview, Technical Summary, Economy, and the Next Session. This allows you to choose the segments you are interested in without having to find the spot in a longer video. Click on the link to the portion you wish to view.

MARKET OVERVIEW

TO VIEW THE MARKET OVERVIEW CLICK THE FOLLOWING LINK:

http://investmenthouse1.com/ihmedia/MarketOverview.wmv


TO VIEW THE TECHNICAL SUMMARY VIDEO CLICK THE FOLLOWING LINK:

http://investmenthouse1.com/ihmedia/TechnicalSummary.wmv


TO VIEW THE ECONOMY CLICK THE FOLLOWING LINK:

http://investmenthouse1.com/ihmedia/Economy.wmv


TO VIEW THE NEXT SESSION VIDEO CLICK THE FOLLOWING LINK:

http://investmenthouse1.com/ihmedia/NextSession.wmv

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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

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



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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 259.69 +5.41 138.55 149.91 21M 23M 255.11
Current. Held the 18 day EMA (253.24) and then bounced to close over that gap up point from April. Holding where it needs to and showing some life so we leave it, but still not terribly strong. Good enough for now, though, and we can see if it will keep improving.

AAPL 04/15 Test 20 259.69 +5.41 119.69 132.77 21M 25M 255.11
Current.

AKAM 05/06 Flag 45.04 +1.36 38.14 44.75 5M 4.5M 41.31
Current. Gentle slide back Monday, but got things turned right around to start things Tuesday. Held the whole move up into the finish, and looks ready to keep it going from this point. Has room to run, so just seeing how far it will carry for us.

AKAM 04/05 Flat 45.04 +1.36 32.84 39.89 5M 4.5M 41.31
Current.

ANN 06/10 ABCD Up 21.92 +0.13 21.79 24.94 1.5M 2.8M 19.74
Current. Small gap up, tested back to the 50 day EMA (21.21), and then bounced to finish with a doji. Nice push over the 50 day Monday, and like this test back and bounce there to follow up. This one is set to move, but now we watch to see if it tries to take that step up to the May highs and our target.

ARO 05/22 Test 20 30.82 +0.18 29.18 33.44 2.4M 3M 28.97
Current. Finished off the high with a doji to start the week; not the greatest move. Slipped back on us Tuesday, but reversed off the lows to finish the day holding up with a doji. This one looks ready to hold up at this point over the early June high as it needs to, and that leaves it well positioned to bounce up from the rising 10 day EMA (29.54). Seeing if it does that.

ASH 06/11 Trnd Rv 55.62 +2.23 53.28 62.92 1.2M 2M 50.51
Faded at the 50 day EMA (53.88) Monday, but gapped to there and kept pounding higher Tuesday. The gap up made it hard to do much with it, so for now we just see if it keeps climbing. If it does fade, we see where it bounces and if that is anything we can play.

BIDU 06/10 Test 50 75.37 +2.44 72.46 83.94 8.2M 18M 71.22
Current. Just following the rest of the market as it stepped higher, up from the 10 day EMA (72.60). Not huge volume, but really doing what it needs to right now. With that, we leave it alone to see if it can keep clicking higher Wednesday.

CAGC 06/11 Rolling 13.44 +0.67 12.70 15.42 966K 1.4M 11.88
Current. Another gap up on the heels of that Monday gap, and then tracked higher from there to close. Doing a good job for now, but it is hitting a very key level with the February lows and the early May lows as resistance. Key to see whether CAGC can keep to the upside, or if it tries to test now.

CHK 06/10 Trnd Rv 25.36 +0.74 24.40 28.54 13M 23M 23.92
Current. Big gap up, and then climbed to settle over the 200d day SMA (25.18). After the Monday action it had looked ready to take a little test, but that was not the case after all. Now we see whether it sticks the move over the 200 day, or if it fades to test the move. After three tries to move back over that failed, this attempt likely sticks.

CI 06/08 DB hdl 35.11 +0.56 34.44 39.91 2.2M 5M 33.77
Current. Gapped higher and then slid a little further up into the finish. Heading in the right direction for us, over the early June high, but volume was down below average. Will have to watch it with volume down to make sure it continues, but overall this one is still nicely set up to continue higher. Just watching to make sure it does that.

CMG 05/10 Flag 152.92 +4.15 138.71 158.42 873K 775K 143.77
Current. Looked like it might start to test a little as it paused as the early June peak Monday, but that was not the case. Very solid shot higher Tuesday, moving with volume above average. Solid move, and now just looking for another couple days like this. Will see now if it takes advantage of the room it has to run.

CMG 01/26 Test BO 152.92 +4.15 98.45 110.00 873K 550K 143.77
Current.

CMI 06/10 Pennant 75.37 +2.96 71.98 81.44 2.7M 4M 70.38
Current. Closed down from the highs to show a doji Monday, but bounced right back up with the rest of the market Tuesday. Solid move and now is snugged right up against the April (75.79) and early May (75.09) highs. Seeing if it can really show strength by pushing past that point Wednesday.

CNC 06/07 DB hdl 23.09 +0.26 23.88 27.94 278K 950K 22.41
Buy Not Hit. Gapped up, filled, and then bounced to finish the day with a doji. This one is set to rip higher, it just will not take that first step. Will be patient, though, and see if we get anything from it the next couple of days to give us an entry. Just looking for that step higher that holds into the finish.

DLM 06/14 Flag 15.28 +0.04 15.44 18.55 2.5M 2.2M 14.39
Buy Not Issued. Bounced back up through the 50 day EMA (14.66) with the upside last week, and now has tested for three sessions. Did gap and fade to finish flat Tuesday, not sticking gains like many others, but still not bad. A good place to bounce from so watching longer for the upside move to stick, giving us a buy.

DLTR 05/29 PreSplt 64.00 +1.24 60.89 67.75 1.2M 1.6M 61.89
Current. Nice shot higher Tuesday, sticking a move over the May highs. Good to see. Now we leave it alone to see if it can start to cover some ground from here.

DTG 06/10 Pennant 44.66 +0.18 45.57 52.24 929K 1.7M 42.54
Buy Not Issued. Basically flat for the session, still holding under the 10 and 18 day EMA (44.96, 45.27). Nothing to buy with, but still in position to make its move. Would have liked to see it jump with the rest of the market, but it is ok to just wait and see what it will do.

EMS 06/14 Test 20 56.10 +0.49 56.06 61.78 342K 388K 53.32
Entered today. Lower intraday, and then started back up to finish higher. Picked this one up as it held the gains into the close, continuing the upside after breaking over the 50 day EMA Monday. Now just letting it run to see what it can do.

FFIV 06/05 Test 50 72.97 +2.50 69.57 78.95 1M 1.6M 68.77
Current. Showed the doji Monday, but went right ahead and moved higher again Tuesday. Solid step higher, though volume was down and FFIV is challenging the key points with the May highs at 73ish. Will see if it has the juice to get through those points Wednesday.

GLD 05/24 Test 18 120.99 +1.39 117.32 122.24 15M 38M 116.89
Current. Nice hold Monday with the doji over support, and then took off back higher Tuesday. Good volume to back the move, and starting up just like it should after the orderly pullback from last week that carried over into Monday. Now we just see if it keeps it up with more gains Wednesday.

HNT 06/08 Cup hdl 27.42 +0.73 26.10 29.75 1.1M 2.1M 25.82
Current. Gap and fade Monday, but clicked higher Tuesday, holding the move. Solid action out of this one so far and does have room to test if it needs to. Not going to complain a bit though if it just keeps working higher for us.

ILMN 05/11 ABCD Up 44.80 +0.35 42.74 47.95 1.2M 2M 42.11
Current. Short gap higher, finishing the day with a doji. After turning lower Monday, this short bounce back is not bad at all to see. Now we wait for ILMN to keep to the upside, or show that it will take a little break. Really just giving this one plenty of time to work.

IRBT 05/06 Flag 20.78 +0.50 19.22 21.94 101K 220K 20.11
Current. Gapped up Monday, showing a doji over the 10 and 18 day EMA (20.04, 19.98) support. Another gap higher Tuesday, and then pushed for more gains into the close. Really getting start back to the upside like we want to see, but the key levels are still coming up with the two May highs around 22. Will let IRBT run to that point and then see how it does.

IWM 05/24 ABCD Up 66.99 +1.64 65.48 73.95 72M 100M 64.21
Current. Gapped up, tested slightly intraday, and then shot back to the upside. Very strong finish, holding up right over the 50 day EMA (66.81) at the close. Now we see if the move holds Wednesday, and if IWM works for even more from there.

JMBA 06/14 ABCD Up 2.71 +0.14 2.68 3.78 671K 1.4M 2.49
Entered today. Tried to make a move Monday, but could not stick it and closed back down below the 50 day EMA (2.66). Bounced again Tuesday, and did manage to stick the move so we picked it up. Now we see how it runs.

LNCR 06/01 PreSplt 47.60 -1.90 48.19 53.95 1.9M 1M 46.18
Current. This one gapped and then slid back even more into the finish. Not moving with the rest of the market with the higher volume turn down, but it did manage to stick with the 18 day EMA (47.30). As support held, we left it on and will see if it holds or bounces back Wednesday. Of course, there is firmer support down at the 50 day EMA (46.13), but will wait and see how the stock reacts at this level.

LULU 06/08 Test 50 44.35 +1.92 39.93 49.88 1.7M 1.8M 37.13
Buy Not Issued. Gapped higher Monday, and then again Tuesday. Just couldn't move into it at this point so have to drop it for now.

NEM 04/14 Flag 56.33 +1.39 55.48 62.95 7.3M 10M 55.22
Current. Slipped back on us to start the week, but jumped right back to the upside Tuesday. Very solid move and now bumping right up against the highs from last week. Will see if another upside push puts us past that point, and then start looking at that May peak at 58.50 as the next resistance.

NETL 05/19 Dbl btm 29.69 +1.42 28.98 34.89 1.3M 2M 27.53
Current. Very nice to see. NETL popped higher Tuesday, closing past the 50 day EMA (28.83) on the day. Failed at that point early in June, and now that it has cleared past we see if it keeps running.

NFLX 05/11 ABCD Up 123.50 -3.31 104.89 122.00 4.5M 3.2M 115.44
Current. Very strong Monday bounce when not many did, so ok to see this fade Tuesday. It is holding the gap up point from Monday (123.55 open) so will see if it sticks there, or if it fades a little more towards the 10 day EMA (116.97). Have room to work with so will see what it does.

NTRI 05/17 Test BO 23.12 +0.25 22.28 28.89 512K 2M 20.69
Current. Small gap up to a doji Tuesday, not moving as much as others. Did have a strong Monday bounce, so this little pause is nothing to worry about. Just watching to see if it turns into a continuation doji with more gains Wednesday, or if it pauses now. Just waiting to see what it shows Wednesday and will go from there.

ORBK 06/05 DB hdl 11.74 +0.14 12.02 13.94 62K 125K 11.18
Buy Not Hit. Tapped down at the 18 day EMA (11.43) and then bounced to close with a nice little gain. Good looking move, though volume was down some, and now just needs to continue to hit our buy. Again, this one is in great shape to make a move, it just has to show it.

OSIS 06/01 DB hdl 28.75 +0.19 27.05 31.55 200K 275K 27.11
Current. Just inched higher Tuesday, really slowing down at that April gap down point (28.70 open). Pretty key level for this stock, so watching closely to see if OSIS can punch through here, or if it takes a breather.

PAY 06/11 Test 20 21.09 +1.34 21.11 23.94 1.7M 2M 19.41
Entered today. Little Monday test, but a strong shot higher Tuesday gave us the buy. Held all the upside into the finish, and now we see what PAY can do for us.

PNRA 05/27 Dbl btm 84.81 +1.29 81.58 88.54 248K 755K 81.76
Current. Gapped and faded Monday, struggling at the April gap down point (83.98 open). Volume was down Tuesday, but the stock went right ahead and started to fill that gap. Showing strength, so we leave it alone and see if it can continue for us from here.

ROST 05/21 ABCD Up 57.58 +0.61 52.87 58.91 1.5M 3.2M 54.57
Current. Basically flat the past few sessions, showing just slight up and down movements, so leaving it alone. Will give it more time at this level, and then see if it can start to run again up off the 10 day EMA (55.91).

SNDK 05/25 Pennant 48.68 +1.34 45.45 49.89 16M 12M 44.31
Current. Solid shot higher Monday, and then kept it up with more gains Tuesday. Strong trade again with this move, and it closed up past the May and early June highs at 47.50 with the upside. Now we see if it keeps running, or if it slides back any to test the move.

SNDK 04/29 Flag 48.68 +1.34 39.14 49.94 16M 13M 44.31
Current.

SSYS 06/11 Trnd Rv 25.45 +0.55 25.44 29.94 137K 250K 23.77
Entered today. Cleared the 50 day EMA (24.27) Friday and then just gave a little pause at that point Monday. Stepped right back higher Tuesday, and that's what we needed to see for the buy. Picked it up with this jump higher and now we let it play.

TIE 06/10 BO 20.49 +0.42 19.09 21.94 4.5M 4.5M 19.22
Current. Finished well off the highs Monday, but stuck a nice gain thanks to the gap up. Followed that up Tuesday with even more upside, still with pretty stout volume. Starting to get near our target so have to keep an eye on that with another couple days of gains. Now just seeing how things pan out the rest of the week.

UA 06/06 DB hdl 35.83 +1.10 34.17 39.89 744K 1.2M 33.62
Current. Closed off the highs Monday, showing a doji, and then followed that with a nice bounce up Tuesday. Shot through the May peaks with this move and now is nearing the next resistance with the April highs (35.93). Just seeing what it can do at this point Wednesday.

USO 06/10 Rolling 35.23 +0.90 34.74 38.18 10M 16M 33.71
Current. Gapped up and then ticked higher into the close, showing good life. It has taken its time the past few sessions, but showing it may be ready to get started now. Will give it more time to work as it did close up over the February lows Tuesday, but still has more ground to cover now.

VIT 06/11 Dbl btm 22.04 +0.54 22.08 25.95 333K 700K 20.42
Entered today. Held the 18 day EMA (21.50) and then took a nice step higher, just closing past the 50 day EMA (21.94. As it held a nice gain we picked it up, and now seeing how it finishes up the rest of the week.

WRLD 05/20 ABCD Up 38.47 +1.75 37.18 44.89 261K 500K 35.77
Current. Just held up Monday showing the doji over the 50 day EMA (36.26), but got going again with the Tuesday bounce. Very solid move with better trade, and this is what we wanted to see. Now we just watch to see how it follows through Wednesday.

Downside Plays
Stock Date Play Close +/- Pivot Tgt Vol TgtV Stop
AAPL 06/01 Dbl Top 259.69 +5.41 255.88 239.11 21M 34M 259.32
Current. Closed over the gap up point from April but low volume. If it does not reverse we close the downside play, but it is still not that strong so we gave it another session. Will see if it gives us what we need Wednesday.

CVS 06/14 BearFla 32.21 +0.34 31.73 27.71 14M 12M 33.12
Buy Not Hit. Gapped and tried for more, but really not able to do much past the 10 day EMA (32.43). As it is holding solidly under the light resistance, we are ready to play the bear flag pattern down. Will be ready to jump on it when it can take that step back that sticks.

CVS 05/29 BearFla 32.21 +0.34 33.80 30.65 14M 12M 31.64
Current.

DIA 06/14 Rollove 104.17 +2.03 101.96 98.11 9.4M 17M 103.71
Buy Not Hit. Shot higher Tuesday, over the 200 day SMA (103.09). As it is over the 200 day, it is likely to continue going. Will keep it on just in case it reverses, though. Will see what it does now.

HAL 06/14 BearFla 25.46 +1.44 23.87 20.82 16M 24M 24.98
Buy Not Hit. Not as great with the strong Tuesday bounce up, but it could still reverse for us. With that in mind, we watch it a little longer to see if it shows any movement back to the downside soon to keep us interested.

PCLN 05/29 BearFla 185.77 +1.63 189.64 177.65 908K 1.9M 183.54
Current. Still need to keep an eye on this one. Not a big move up, but it did manage to hold the 10 day EMA (183.93) after the gap and rollover to that point Monday. Needs to give this level up, so want to see that very soon. If it starts to bounce from the 10 day have to be very cautious.

SPY 05/29 BearFla 112.00 +2.49 108.64 104.45 238M 310M 107.92
Exited. Moved through the 200 day SMA and held so it was time to kill it.

TEX 05/29 HdShldr 21.40 +0.84 20.81 17.44 1.8M 2.7M 20.82
Bounced as did many others, but the 200 day SMA (21.36) managed to hold it down. Need to watch Wednesday to make sure it stalls, but if it can do that, it looks very good for the downside play.

ZMH 06/02 BearFla 54.36 +0.70 54.05 50.46 2.6M 2.5M 54.95
Exited. Setting up for an upside move off this selloff (kind of a skewed inverse head and shoulders). It was time to close it.

End part 2 of 3


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