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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)


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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:

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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!

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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 271.87 +4.62 138.55 149.91 31M 23M 255.11
Current. Gapped up, holding a gain into the finish. This one did move higher with solid volume when not many where, but it is still holding under the April peak (271.88 open) with a doji. Seeing now if it pauses, or if it can give a good show of strength and move on through.

AAPL 04/15 Test 20 271.87 +4.62 119.69 132.77 31M 25M 255.11
Current.

AKAM 05/06 Flag 45.59 +0.46 38.14 44.75 3.8M 4.5M 42.11
Current. Pretty standard move as it tested intraday and then bounced back to finish with a doji. Was modestly higher thanks to the gap up, but nothing too spectacular as it just trends steadily higher. Nothing to wow us, but doing everything we need it to so letting it continue.

AKAM 04/05 Flat 45.59 +0.46 32.84 39.89 3.8M 4.5M 42.11
Current.

ANN 06/10 ABCD Up 20.74 -0.47 21.79 24.94 2M 2.8M 19.74
Current. Faded on us Wednesday to the 50 day EMA (21.19), but slipped below that level Thursday. Still over support closer to 19.50ish with the May and early June lows, but would prefer to see ANN stick at this point. If it can hold in this range and bounce we leave it alone.

ARO 05/22 Test 20 29.65 -0.39 29.18 33.44 1.8M 3M 28.97
Current. Gapped up, but quickly slid back to finish the day over the light 10 day EMA (29.63) support. Not a bad place to stick, but now we see if it can do that again Friday to finish out the week. If it can hold this level, it will be in great shape to start bouncing again for us next week.

ASH 06/11 Trnd Rv 54.86 +0.56 55.39 63.94 1.1M 2M 52.89
Moved the buy point as ASH holds the break over the 50 day EMA (53.93). Did test down to the 10 and 18 day EMA (53.20, 53.17) intraday, but bounced back sharply to finish with a doji. This one is set to move, and now we just wait on it to do that.

BIDU 06/10 Test 50 72.47 -2.34 72.46 83.94 12M 18M 71.22
Current. Closed off the highs Wednesday to show a doji, then slipped back down Thursday. Managed to hang in with the 18 day EMA (72.32), but do want to see if it can stick to this support Friday. Would be nice to see, but it may try to ease back closer to the 50 day EMA (68.51) as that has been the support of choice through May. Have to decide if we want to let it get that deep if it keeps testing, so watching to see if it firms up any Friday.

CAGC 06/11 Rolling 12.91 -0.34 12.70 15.42 452K 1.4M 11.88
Current. Short gap up and then faded back on us, but held nicely over the 10 and 18 day EMA (12.48, 12.68). Letting it take a little breather at this band of support, and then can see if it will get started again Friday or early next week.

CHK 06/10 Trnd Rv 24.88 -0.30 24.40 28.54 10M 23M 23.92
Current. Not great as it is struggling at the 200 day SMA (25.19), fading away from that point after closing above it Tuesday. The stock did tap the 10 day EMA (24.42) on the low and rebound, but still watching this one. At a key point so do want to see strength out of it now.

CI 06/08 DB hdl 35.34 +0.15 34.44 39.91 2.4M 5M 33.91
Current. Very small gap higher and then closed there with a doji after moving up and down intraday. Not a bad day, but have to see if it steps higher off this lateral move, or if it has to take a soft fade back. Have a little room to work with so just being patient and will see what it gives us.

CLF 06/16 DB hdl 56.36 -1.15 58.28 69.94 5.9M 10M 54.31
Buy Not Issued. Gapped up, but faded back to below the 50 day EMA (57.02) so we could not move in. It did manage to hold up at the 10 day EMA (55.09) and bounce slightly so that is a plus, but now we have to watch how it reacts Friday. If it can hold and start back up, we can look for the buy early next week. Though, not going to ignore it if it shows something very strong Friday.

CMG 05/10 Flag 151.85 -0.67 138.71 158.42 658K 775K 144.54
Current. Traded in a pretty tight range all day, but did manage a decent bounce off the lows to finish nearly flat. Holding up just fine over the early June high as well as the 10 day EMA (148.33), so it looks good to just let it play Friday.

CMG 01/26 Test BO 151.85 -0.67 98.45 110.00 658K 550K 144.54
Current.

CMI 06/10 Pennant 73.81 -0.70 71.98 81.44 2.3M 4M 70.38
Current. Soft turn back down after running to the May high Tuesday and then pausing Wednesday. Volume edged back slightly with this step down, and CMI is set to take a soft test if it needs to. Will watch it fade to the rising 10 day EMA (71.44) and see if it shows any life over the light support.

CNC 06/07 DB hdl 23.34 +0.23 23.88 27.94 234K 950K 22.41
Buy Not Hit. Not a bad little step up off the light support, just not quite to our buy point yet. Can see if it gets there Friday, but with the lighter trade we have to use patience. If it shows good strength we consider it, but likely have to wait until early next week before jumping in.

DLM 06/14 Flag 14.96 -0.20 15.44 18.55 3.6M 2.2M 14.39
Buy Not Issued. Another short slide back, tapping the 50 day EMA (14.69) on the low and then bouncing to recover the 18 day EMA (14.89). Now we see if it holds this point or fades again to that 50 day. Just waiting on the bounce back from this range that sticks for our buy.

DLTR 05/29 PreSplt 63.57 +0.04 60.89 67.75 995K 1.6M 61.89
Current. Up and down intraday before settling with the doji over the 10 day EMA (62.78). Also holding the late May highs with this move, and would be great if it could just stick. If it can, we give it time to bounce. Do have a little more room to let it fade, though, so will just watch it and see what it does Friday.

DTG 06/10 Pennant 44.55 0.00 45.57 52.24 349K 1.7M 42.54
Buy Not Issued. Perfectly flat Thursday, still holding under the 10 and 18 day EMA (44.83, 45.13). Just stepping along, gathering strength, so we just keep waiting on it. Nothing has changed with this one, and we still just have to show patience until it gives us the shot higher to take out the resistance.

EMS 06/14 Test 20 55.67 -0.46 56.06 61.78 201K 388K 53.32
Current. Hit that down trendline drawn through the March, May, and early June peaks Wednesday and now is fading back. Volume was down and the stock is still settled over the 10 day EMA (55.25) so it is nothing too serious, just keeping an eye on it. Will see if EMS holds at this point and bounces to start the move over it.

FFIV 06/05 Test 50 73.42 -1.27 69.57 78.95 1.6M 1.6M 69.68
Current. Nice bump higher Wednesday to move over the April/May peaks, but turned back down to test them Thursday. Holding up just fine for now, but does look like it could rest a little more. Will give it time, and see how it sets up for us Friday.

GLD 05/24 Test 18 121.90 +1.57 117.32 122.24 20M 38M 119.44
Current. Gold was up and that boosted GLD nicely Thursday. Did show a doji right at the May and early June highs, so will be interesting to see how it reacts. If the fear trades keep up the pace we saw today then it is set to move on through the prior highs, but we will see. Really would not be too surprised if it rests for a day now.

GTI 06/15 Asc Bse 16.76 -0.11 17.18 20.94 682K 2.3M 15.98
Buy Not Hit. Showed a doji Wednesday right at the May highs and then turned back down Thursday. A very controlled move down as it bounced up from the lows, and that is pretty nice to see. Looks like it will hang in this range and try to bounce, so we can just wait for that shot higher that sticks. Will see if it starts up for us Friday.

HNT 06/08 Cup hdl 27.67 +0.47 26.10 29.75 1.9M 2.1M 26.38
Current. Pretty solid as it stepped higher Thursday with volume, sticking most of the gains into the close. Did backtrack slightly off the intraday high, but for the most part this one looks solid. Just seeing if it can keep it up heading into the weekend, or if it slips back on us.

ILMN 05/11 ABCD Up 44.84 -0.17 42.74 47.95 786K 2M 42.74
Current. Pretty much flat Thursday with this doji up over the 10 day EMA (43.93). Has worked horizontally for a several sessions now, and really just looks to be setting up for another bounce from this light support. So, leaving it alone and seeing how it does for us Friday.

IRBT 05/06 Flag 20.76 +0.10 19.22 21.94 70K 220K 20.11
Current. Not much of a move higher Thursday, but it did reach way back to the 18 day EMA (20.13) before bouncing back to close with a doji. Really nice test and reversal, and this could set it up for a bounce Friday. Nicely positioned, but now have to wait and see if it really will jump.

IWM 05/24 ABCD Up 66.76 +0.08 65.48 73.95 67M 100M 64.21
Current. Holding flat, still struggling some at the 50 day EMA (66.81). Did manage a nice bounce off the intraday low, however, so it is doing good enough for now. Seeing if it can get started again Friday after resting for a couple of days, but may have to wait until next week before we see anything.

JMBA 06/14 ABCD Up 2.64 -0.10 2.68 3.78 704K 1.4M 2.49
Current. Closed over the 50 day EMA (2.66) for the past couple days, but slid back below that support Thursday. Not the best move, but now we see if it can start up off the 18 day EMA (2.56) to get things back on track. Seeing if it can hold that support Friday.

JPM 06/16 Rolling 38.44 -0.08 38.73 44.77 35M 50M 37.12
Buy Not Issued. Side stepped Thursday, forming a doji wedged over the 10 day EMA (38.22) and under the 18 day EMA (38.61). Looks pretty decent as it steps along for now, but have to see that bump higher before we make a move. If it gets started Friday, great, but really would prefer to see something early next week for a buy. Just have to wait and see.

LNCR 06/01 PreSplt 32.27 +0.52 32.13 35.95 2M 1M 31.20
Current. Fell for a couple days to test the 18 day EMA (31.63) and is now starting to bounce back up. This one is looking good now after taking its little breather, and we see if it keeps running like it is set to do.

NEM 04/14 Flag 59.68 +1.35 55.48 62.95 10M 10M 57.98
Current. Gapped up through the May high (58.85 open), forming a doji. Nice bump higher but now we see how it sticks. If it holds and keeps running, great. May also test back to the May highs, but a bounce there is also just fine.

NETL 06/15 Rev HS 29.99 +0.15 29.88 34.89 1.1M 2M 27.79
Buy Not Issued. Not much upside Thursday, but a nice bounce off the intraday low to finish with a doji. Setting up nicely for the buy, just not quite enough trade. Still, if it can give another little fade back and bounce with volume we can look at buying it.

NETL 05/19 Dbl btm 29.99 +0.15 28.98 34.89 1.1M 2M 27.53
Current.

NFLX 05/11 ABCD Up 125.86 +1.19 104.89 122.00 2.7M 3.2M 115.44
Current. Gapped up and tried for more, but then slid back to finish with a doji. Still held a gain, but likely it fades back some off this move. If it does, we just see how it looks first at the 10 day EMA (119.73) and then go from there.

NTRI 05/17 Test BO 23.30 -0.02 22.28 28.89 328K 2M 20.69
Current. Slipped a little lower, but managed to bounce back to finish the day with a doji. Really working along nicely, but do want to see the bounce up from this level soon to move past the May peak (23.87 open). May see if the rising 10 day EMA (22.40) gives the stock a boost.

ORBK 06/05 DB hdl 11.87 -0.06 12.02 13.94 58K 125K 11.18
Buy Not Issued. Started higher, but as the move did not stick we could not buy it. It could just bounce right back from this point, but would not be surprised if it gives a little fade now first. Just have wait and see when it will give us the bump higher that holds.

OSIS 06/01 DB hdl 28.92 +0.23 27.05 31.55 178K 275K 27.68
Current. A small step forward, starting to work above that April gap down point (28.70 open). A good sign, but now just watching a little longer to see if it keeps going. If it does, great, but if it fades we can give it a little time to pause. Have to see how things turn out Friday and will go from there.

PAY 06/11 Test 20 20.82 +0.12 21.11 23.94 982K 2M 19.41
Current. Held up nicely, reaching the late May, early June highs intraday, and then bouncing back up to finish with a doji. This is one that is at a great point to start breaking higher, it just has to show it.

PII 06/16 Flag 61.58 +0.69 62.31 71.00 396K 650K 58.78
Buy Not Hit. Nice setup with this one, and still looking good with the intraday test down at the 10 day EMA (60.00) that bounced back to finish with a doji. Could very well start higher after this little test, but have to wait and see. Looking for that next solid bump higher that sticks for our entry.

PNRA 05/27 Dbl btm 83.70 -0.71 81.58 88.54 300K 755K 81.76
Current. A little fade back Thursday, and just hanging on at that April gap down point (83.98 open). Has worked along at this level for a few days now, but does look like it could slip a little more Friday towards the 10 day EMA (82.65). Really not too big a deal if it does that, just really want the bounce from that point if it gets there.

ROST 05/21 ABCD Up 57.69 +0.24 52.87 58.91 2.2M 3.2M 55.11
Current. Sixth day at this level, forming a doji after tapping the 10 day EMA (56.46) on the low and then bouncing back. Primed to bounce, just have to wait and see when it starts moving up from this point. Looks ready to do so in just a couple of days but we will see.

SAPE 06/15 Asc Tri 10.82 +0.01 10.83 12.94 998K 1.5M 10.01
Current. Gapped up and then slipped to finish the day basically flat. Still like the stock, but it is pausing now at the April highs. Just waiting to see if it tests any after this move, and if it does, where it holds up. If it can stick with the light 10 day EMA (10.47) support and bounce, it will be doing a great job.

SNDK 05/25 Pennant 49.70 +0.31 45.45 49.89 10M 12M 45.77
Current. Nice test back intraday and then bounced to close with a doji. Can't complain about this one, so we just let it continue to play out. Will see if it keeps running higher into the weekend, or if it tries to rest a little now after a pretty decent week of gains.

SNDK 04/29 Flag 49.70 +0.31 39.14 49.94 10M 13M 45.77
Current.

SSYS 06/11 Trnd Rv 25.80 -0.29 25.44 29.94 139K 250K 23.94
Current. Another one that has moved pretty decently this week, though it did turn back down on us Thursday. Just showing it is not quite ready to move through this point near 27 with the late February lows and April highs. Nothing wrong with letting it rest, and will see if it can strengthen any for us Friday.

TIE 06/10 BO 19.93 -0.01 19.09 21.94 4.3M 4.5M 19.22
Current. Slipped to the 10 day EMA (19.13) and then bounced back, forming a doji at the finish. Nice way to keep testing after the Wednesday fade, and it may have had enough now. It is set to bounce Friday, but nothing to worry about if it just pauses for another day.

UA 06/06 DB hdl 36.86 -0.13 34.17 39.89 842K 1.2M 34.22
Current. Not able to keep running, but it did test the April highs (35.93) intraday and bounce back from there. So, it could keep to the upside Friday, but will not be surprised if it keeps trying to rest. Just have to wait and see how things start off Friday.

URI 06/15 Test 50 12.52 -0.11 12.72 14.69 812K 2.1M 11.64
Buy Not Issued. Shuffled lower to the 10 and 18 day EMA (12.08) intraday, and then bounced back to finish things with a doji. Looks great at this support and is just ready to go. At this point we are just waiting for it to make a move and hold it before we pull the trigger.

USO 06/10 Rolling 35.14 -0.35 34.74 38.18 8.5M 16M 34.11
Current. Struggling some at the 50 day EMA (35.90) and early May low now as it slipped back Thursday. Not great, but not unexpected so just giving it time. Will see if it firms up any the next couple of days and can then start moving back to the upside again.

VIT 06/11 Dbl btm 22.48 -0.05 22.08 25.95 343K 700K 21.18
Current. Gapped up but could not find purchase so VIT faded back to flat. Still nicely over the 50 day EMA (21.98) so we will see how it tests to there, and see how it positions for a bounce back from that point.

WBSN 06/16 Test 20 20.49 -0.04 20.78 24.11 441K 650K 19.34
Buy Not Hit. Opened at the 18 day EMA (20.72) and then faded back to finish the day at the 10 day EMA (20.44). Wedged between the moving averages and for now just waiting for it to break over the 18 day. When it can do that, we see what kind of strength it can show us for a buy.

WRLD 05/20 ABCD Up 39.07 -0.48 37.18 44.89 143K 500K 37.09
Current. Ran for two days to the April high (39.90) and then faded back Thursday. Still in good shape overall, and there is nothing wrong with this little pause after the nice move higher the past week and a half. Seeing if it keeps testing Friday, and if it does, how that sets this one up for next week.

Downside Plays
Stock Date Play Close +/- Pivot Tgt Vol TgtV Stop
CVS 06/14 BearFla 31.84 -0.04 31.73 27.71 9.7M 12M 33.12
Buy Not Issued. Small gap up and then faded to flat, still looking tired under the 10 day EMA (32.24). It did manage a small bounce up off the lows today so we weren't buying, but still in great position. If it can stick the move lower from this point, it is still a good entry.

CVS 05/29 BearFla 31.84 -0.04 33.80 30.65 9.7M 12M 31.64
Current.

DIA 06/14 Rollove 104.56 +0.27 102.97 98.11 9.7M 17M 104.62
Buy Not Hit. Right at the 50 day EMA (104.46), showing a doji at the key level. Not looking so great for us with the bounce up off the lows at the 200 day SMA, but watching just a little longer. If it falters at the 50 day, that could start it lower but we will see.

HAL 06/14 BearFla 26.39 +0.14 25.54 21.24 13M 24M 27.31
Buy Not Hit. Not able to do much Thursday, just stepping laterally with this doji. Another one that does not look great, but if the market rolls and this one rolls it will provide a good entry. Just being patient.

PCLN 05/29 BearFla 195.26 -1.15 189.64 177.65 1.3M 1.9M 183.54
Current. Up to the late May highs Wednesday, but it turned back down Thursday so we left it on. It did manage to hold the 18 day EMA (190.81) so really it wasn't that great, but left it as it worked in the direction we wanted it to. If it can keep heading lower we will give it more time, but have to be very careful if it starts looking like it will hold the 18 day as it could bounce from there.

TEX 05/29 HdShldr 21.85 -0.35 20.81 17.44 1.5M 2.7M 20.82
It was higher Wednesday, but stalled under the 50 day EMA (22.49) and slipped some Thursday. With the move down we watch it longer, but still has to give up the key 200 day SMA (21.41) to get things back in shape. Seeing if it can do that with any selling Friday.

End part 2 of 3


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