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Begin part 2 of 3
CONTINUING PLAY TABLES
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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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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 274.07 +2.20 138.55 149.91 28M 23M 255.11
Current. A slow start Monday, then moved solidly higher the rest of the week. Gapped up to a doji Thursday, right under the April highs (271.88 open), but kept running higher Friday. That moved the stock to a new high for the year, and now we see if it can hold it. Have to watch Monday to see if it starts fading any or if it will just keep running higher.
AAPL 04/15 Test 20 274.07 +2.20 119.69 132.77 28M 25M 255.11
Current.
AKAM 05/06 Flag 45.72 +0.13 38.14 44.75 3.9M 4.5M 42.11
Current. Finished a little back from the highs Friday, wrapping up the week with a doji. Just took things easy heading into the weekend, and really moved higher slowly the past few days. Nothing wrong with that, though, as the stock is still in nice shape to keep running next week.
AKAM 04/05 Flat 45.72 +0.13 32.84 39.89 3.9M 4.5M 42.11
Current.
ANN 06/10 ABCD Up 20.50 -0.24 21.79 24.94 1.9M 2.8M 19.74
Current. Not the best move as it tapped the 18 day EMA on the high before fading back to close, but still holding the range it needs to. For now we leave it to see if it firms up at this point next week, and then see if it can start the bounce back from here.
ARO 05/22 Test 20 29.68 +0.03 29.18 33.44 3M 3M 28.97
Current. Pulled back for a couple days this week then tried to bounce up from the 10 day EMA (29.64) Friday. Could not stick the move and closed back with a doji, but that still leaves ARO in pretty decent shape. Just seeing how it starts things Monday, and if it can stick the bounce up from this point.
ASH 06/11 Trnd Rv 56.40 +1.54 56.34 63.94 1.1M 2M 52.88
Entered today. Nice reach lower and reversal Thursday, and then started higher for us Friday. Held a solid gain so went ahead and picked it up. Don't normally buy on Friday's, but won't ignore a good setup either.
BIDU 06/10 Test 50 74.09 +1.62 72.46 83.94 12M 18M 71.22
Current. Doji Wednesday, slid back Thursday, then bounced back Friday. Nice action as it turned up off the 18 day EMA (72.50), and now we see if it can continue to the upside early next week.
CAGC 06/11 Rolling 12.99 +0.08 12.70 15.42 390K 1.4M 11.88
Current. Not much of a move higher, but still looks solid as it holds over the 18 day EMA (12.71). Showing a doji at this point and is really set to start bouncing, so now we leave it to see if it does that Monday.
CHK 06/10 Trnd Rv 24.61 -0.27 24.40 28.54 11M 23M 23.92
Current. Closed over the 200 day SMA (25.18) early in the week, but slipped back for a few sessions to give it up. Faded on us Friday, but really not all that bad as it is now testing at the 10 day EMA (24.46) for us. Can watch it now to see how it reacts at this support.
CI 06/08 DB hdl 35.21 -0.13 34.44 39.91 2.7M 5M 33.91
Current. Gentle climb this week then a slight gap and fade back Friday. Finished nearly flat Friday but is signaling it could be ready to head back lower briefly. So, with the 10 day EMA (34.65) nearby, we will let CI fade to there and see what it does.
CLF 06/16 DB hdl 56.22 -0.14 58.28 69.94 4.4M 10M 54.31
Buy Not Issued. Just barely clawed its way over the 50 day EMA (56.98) early in the week but has slipped for a few sessions now. Holding up nicely at the 10 day EMA (55.29), though, and has done so for a couple sessions. Watching how it sticks this point early in the week, then will see what kind of entry we can get with a bounce back.
CMG 05/10 Flag 152.74 +0.89 138.71 158.42 494K 775K 144.54
Current. Has worked horizontally for the better part of this week, and nothing wrong with that. Starting to show a little life over the 10 day EMA (149.13) also, so will see if it can start to break higher again from this point.
CMG 01/26 Test BO 152.74 +0.89 98.45 110.00 494K 550K 144.54
Current.
CMI 06/10 Pennant 74.30 +0.49 71.98 81.44 2.8M 4M 70.38
Current. Stepped laterally Friday, forming a doji over the 10 day EMA (71.96). After climbing last week and early this week, CMI has held back for the past three sessions. Nothing wrong with that, so we let it fade to the 10 day and then see how it bounces back for us.
CNC 06/07 DB hdl 23.66 +0.32 23.88 27.94 510K 950K 22.41
Buy Not Hit. Nice little bump higher to end the week, but still could not stick the better intraday levels to give us the buy. Doing almost everything right with this higher volume move up, but has to keep showing strength before we move in. Need to watch closely Monday to see if it shows strength at this point with the early June peak (23.58) to give us an entry.
DLM 06/14 Flag 14.71 -0.25 15.44 18.55 2.4M 2.2M 14.39
Buy Not Issued. Nice little fade this week. Had looked like it may be ready to bounce after Thursday's move as it tapped the 50 day EMA (14.69) and rebounded, but DLM went ahead and slipped more Friday. Not a bad thing, as it held the same support at the 50 day EMA at the close. Looking for it to stick here Monday, and then play it with the bounce back.
DLTR 05/29 PreSplt 63.02 -0.55 60.89 67.75 1.5M 1.6M 61.89
Current. Short gap to the 64 mark and then slid back to finish at the 10 day EMA (62.82). Not the best move as it is still holding under that resistance from the May highs and the highs from earlier in the week. Still, it is sticking over light support just fine so we give it more time. Will see if it shows any life to start next week.
DTG 06/10 Pennant 44.73 +0.18 45.57 52.24 499K 1.7M 42.54
Buy Not Issued. Not much changed all week, as DTG just worked horizontally under the 10 and 18 day EMA (44.81, 45.08). Still in position to bounce, but needs to break the monotony and start higher. When it can punch through the resistance levels and stick it, that's when we look at picking it up.
EMS 06/14 Test 20 55.96 +0.29 56.06 61.78 445K 388K 53.32
Current. Still under that down trendline drawn through the recent, descending lows, but not all that bad Friday. Tested all the way to the 50 day EMA (54.86) intraday and then bounced back to finish with a doji, finishing with a slight gain. This is another one ripe for a bounce, but now we see if it takes it Monday.
FFIV 06/05 Test 50 73.81 +0.39 69.57 78.95 1.6M 1.6M 69.68
Current. Nice climb this week and then turned back Thursday to hold the May and early June highs. Held that Friday and then managed to bounce a little. Really working as it needs to for now, so we leave it alone and see if it can keep it up next week.
GLD 05/24 Test 18 122.83 +0.93 117.32 122.24 19M 38M 120.54
Current. Gapped up to a doji, holding just over the May and early June peaks. Nice to see the move through as they were acting as some resistance, but now we see how GLD holds it Monday.
GTI 06/15 Asc Bse 16.60 -0.16 17.18 20.94 1.4M 2.3M 15.98
Buy Not Hit. Slipped a little again Friday, but tapped the 10 day EMA (16.38) on the low and bounced back into the close. Really setting up nicely over the light support, and have to be ready if it starts to bounce back for us Monday. Will watch it then as that could give us the buy.
HNT 06/08 Cup hdl 27.50 -0.17 26.10 29.75 1.1M 2.1M 26.38
Current. Nice little bump higher Thursday, then took the day off Friday to end things. Pretty tight trading all day to finish with a doji, and in pretty good position overall. It could fade a little to start next week, but HNT could start right back up. Have room to let this one play so just sitting back and seeing what it does.
ILMN 05/11 ABCD Up 44.51 -0.33 42.74 47.95 996K 2M 42.74
Current. Slight fade Friday, sitting up over the 10 day EMA (44.04). This one has worked horizontal all week, flat as a pancake. Now it is meeting up with the rising 10 day EMA, and that means it could be ready for a bounce. Watching it early next week to see if it does that.
IRBT 05/06 Flag 21.56 +0.80 19.22 21.94 150K 220K 20.11
Current. Tested along nicely throughout the week, and started to look really good Thursday with the intraday reach to the 18 day EMA (20.28) that rebounded. Tapped back at that same support again Friday, and then took off to the upside. Held onto a solid gain to finish the week, and now we see if it can take out the May highs at 22 with the next push higher.
IWM 05/24 ABCD Up 66.80 +0.04 65.48 73.95 53M 100M 64.21
Current. Just a side step Friday, finishing off the highs and lows to form a doji. Just letting it take its time at the 50 day EMA (66.81), and will see if it gets anything going early in the week to move on past.
JMBA 06/14 ABCD Up 2.64 0.00 2.68 3.78 448K 1.4M 2.49
Current. Lower intraday as it tapped the 10 and 18 day EMA (2.56, 2.57), but rebounded to finish flat. This one is holding right at the 50 day EMA (2.66), and does look ready for a bounce. Will watch it Monday to make sure it does start back up though.
JPM 06/16 Rolling 39.18 +0.74 39.13 44.77 37M 50M 37.12
Entered today. Held steady with the doji Thursday, but opened at the 18 day EMA (38.67) Friday and bounced higher from there. Held the entire move into the close and that gave us the buy. Now we see how this one runs for us.
LNCR 06/01 PreSplt 30.50 -1.77 32.13 35.95 5.3M 1M 31.20
Current. Looked pretty solid the past couple of sessions, but was downgraded Friday and that hurt the stock. Closed below the 50 day EMA (30.84), but it is hanging on with the earlier June lows so we left it. Will give it a session to bounce back over the 50 day, but if it stalls there we have to look at shutting it down.
NEM 04/14 Flag 61.25 +1.57 55.48 62.95 12M 10M 58.91
Current. Solid volume as NEM was higher yet again. Strong upside Monday, gapped to a doji Thursday, then gapped higher again Friday. It did close off the highs some to end the week, but we will see how it treats this gap Monday. Some testing would not be unexpected, but will have to wait and see.
NETL 06/15 Rev HS 30.01 +0.02 29.88 34.89 1.4M 2M 27.79
Buy Not Issued. Just barely lower intraday before popping back up to finish with a doji. This one has worked laterally for a few sessions now, and we are still just waiting for our cue to buy. If it can start up from this point, great; would be better to see a little test back near the 50 day EMA (28.96) that bounces for a better entry though.
NETL 05/19 Dbl btm 30.01 +0.02 28.98 34.89 1.4M 2M 27.53
Current.
NFLX 05/11 ABCD Up 126.42 +0.56 104.89 122.00 2.5M 3.2M 115.44
Current. Stepped laterally to finish the week, and really did not do much the past five days. For now it looks set to continue walking along over the 10 day EMA (120.95) so we let it do that and see if it puts together another run from there.
NTRI 05/17 Test BO 23.42 +0.12 22.28 28.89 716K 2M 20.69
Current. Flat as a pancake this week after bouncing modestly to start things Monday. Formed yet another doji Friday, right under the May high at 24. A key level to move past, but NTRI is in a great place to do so. Will watch it early in the week to see if it can start again after taking this little rest.
ORBK 06/05 DB hdl 12.10 +0.23 12.02 13.94 50K 125K 11.18
Buy Not Issued. Took a nice bounce higher to end the week and just barely held off. This one looks good as it held all the gain into the close, and will be ready to move in if it can continue this coming week.
OSIS 06/01 DB hdl 29.29 +0.37 27.05 31.55 287K 275K 27.68
Current. Started the week flat, but finished things with a nice bounce higher Friday. Like how it is starting to move past that April gap down point, and now we see how it fills the gap up to the 30 mark. That is the next level that the stock needs to take out.
PAY 06/11 Test 20 20.44 -0.38 21.11 23.94 972K 2M 19.41
Current. Turned lower Friday, and could not bounce off the lows any to end the week. The play is in good shape overall, but will see how it reacts with the 10 day EMA (20.03) from here. If it can show life there and bounce, great. If it starts to slid below it, then we have to watch more carefully to see where it holds.
PII 06/16 Flag 60.85 -0.73 62.31 71.00 346K 650K 58.78
Buy Not Hit. A nice short flag pattern, and looked like it was about ready Thursday as it tapped the 10 day EMA (60.15) on the low and bounced back. It did go ahead and continue to fade Friday, but it is still holding up nicely over the 10 day, as well as the April pre gap point and those May highs. That is some good support. Now we see if it takes the bounce and starts to run for us.
PNRA 05/27 Dbl btm 84.01 +0.31 81.58 88.54 343K 755K 81.76
Current. Not able to do a whole lot Friday, but still sticking nicely over the early June high and 10 day EMA (82.90). Looks good over support, so this is one we leave alone and see if it can start to bounce for us again early in the week.
ROST 05/21 ABCD Up 57.31 -0.38 52.87 58.91 1.9M 3.2M 55.11
Current. Has traded flat for just over a week now, finishing this week with a very modest slide back. This is one more stock working along over the light 10 day EMA (56.62) support, and is also ready for a bounce. Just watching how it does at this level early next week and will see if it starts up for us. Then it is really just a short move higher to hit our target.
SAPE 06/15 Asc Tri 10.75 -0.07 10.83 12.94 883K 1.5M 10.01
Current. Up at first, but it didn't stick and SAPE faded into the close. Not much of a move back, and is still in position at these April and May highs. Looks good for now and could be ready to continue the run higher with a little test and bounce at the 10 day EMA (10.52).
SNDK 05/25 Pennant 49.02 -0.68 45.45 49.89 8.8M 12M 45.77
Current. Good looking start higher the first half of the week, paused Thursday, then gave a little fade Friday. Pretty boring action, but nothing wrong with that. Letting it take this lower volume pullback to the 10 day EMA (47.22) and then we see if it can bounce back from there.
SNDK 04/29 Flag 49.02 -0.68 39.14 49.94 8.8M 13M 45.77
Current.
SSYS 06/11 Trnd Rv 26.09 +0.29 25.44 29.94 173K 250K 23.94
Current. Started up early in the week but looked ready to pause after the little gap and rollover Thursday. Guess not. SSYS managed a little bounce back to end the week, so now we see how it follows through Monday. If it can keep to the upside, great; really not a big deal if it checks up at the 10 day EMA (24.91) before resuming the gains, though.
TIE 06/10 BO 20.00 +0.07 19.09 21.94 6.3M 4.5M 19.22
Current. Held pretty flat all week, and then looked like it might be ready after that Thursday intraday dip and reversal. Not the case as TIE just took another boring side step Friday to wrap up this week. Just letting it take this nice, orderly rest, and will see if it can start up again with a little bump from the rising 10 day EMA (19.29).
UA 06/06 DB hdl 37.50 +0.64 34.17 39.89 867K 1.2M 34.22
Current. Lower intraday and then bounced back to take a solid step forward. Showing a doji and this one does look ready for a little test after the move higher the past couple weeks. So, will see if it rests any to start things Monday or if it keeps powering ahead.
URI 06/15 Test 50 12.48 -0.04 12.72 14.69 1.2M 2.1M 11.64
Buy Not Issued. Nice slip back to the 50 day EMA (11.78) before bouncing to finish with a doji. Fourth day at this level, right under the late May high, and looks ready to start running. This one is itching to break out, so will keep a close eye on it Monday to see if it gives us the buy.
USO 06/10 Rolling 35.41 +0.27 34.74 38.18 6.5M 16M 34.11
Current. Decent upside this week though hit the 50 day EMA (35.88) Thursday and slid back. Did turn back higher Friday, but still have that moving average as resistance to take out. Getting to be a pretty key level for this one, so have to watch what it can do Monday at this level as volume fades. Have to keep an eye on it.
VIT 06/11 Dbl btm 22.76 +0.28 22.08 25.95 311K 700K 21.18
Current. Short gap and rollover Thursday after running higher for a couple of sessions. Shook it off Friday and started higher up off the 50 day EMA (22.01). Volume is still pretty low, but just letting it run for now to see how it continues to the upside.
WBSN 06/16 Test 20 20.63 +0.14 20.78 24.11 621K 650K 19.34
Buy Not Hit. Finished in the green, but just barely so. That left the stock wedged between the 10 and 18 day EMA (20.48, 20.71) still. Still set up for our buy, just being patient to see if it will give us the bounce higher we need.
WRLD 05/20 ABCD Up 39.74 +0.67 37.18 44.89 306K 500K 37.09
Current. Paused Monday, ran higher for two sessions, then paused again Thursday. The action picked right back up Friday with more gains, but WRLD is still stuck under that April high at 40. Will have to get through that point Monday, but with the stronger volume we think WRLD can do it. Now just have to wait and see.
Downside Plays
Stock Date Play Close +/- Pivot Tgt Vol TgtV Stop
CVS 06/14 BearFla 32.43 +0.59 31.73 27.71 24M 12M 33.12
Buy Not Issued. CVS resolved a dispute with Walgreen (WAG), and that gapped the stock sharply higher. It gapped higher, filling the gap down from two weeks back (that gap occurring because of this dispute), but then sold back sharply. Still sitting on top of the 10 day EMA (32.28), but as it sold back and did not bounce off the lows we see if it keeps falling Monday. If it can, we leave it. If it starts to show life, we have to be careful.
CVS 05/29 BearFla 32.43 +0.59 33.80 30.65 24M 12M 31.64
Current.
DIA 06/14 Rollove 104.49 +0.13 102.97 98.11 6.9M 17M 104.62
Buy Not Hit. Not able to progress any, still showing a doji at the 50 day EMA (104.46). With that we can leave it longer to see if it stumbles any. If it does, we look for a drop back below the 200 day SMA to get us looking for a buy.
HAL 06/14 BearFla 26.98 +0.59 25.54 21.24 14M 24M 27.31
Buy Not Hit. This one did manage to post a little gain at the finish, but is still wedged under the 50 day EMA (27.18), late May high, and early May low. Will see if it can pause here under 27 and start to roll back. If it can do that we will watch it a little longer.
PCLN 05/29 BearFla 193.09 -2.17 189.64 177.65 1.4M 1.9M 183.54
Current. It did slide back a little, but still watching as it held over the 18 day EMA (191.05). Trying to fill that gap so leaving it but do have to keep an eye on it. Also need to not that it did finish below those February lows and that is a plus, but now we see if it can weaken any more Monday.
TEX 05/29 HdShldr 21.87 +0.02 20.81 17.44 1.4M 2.7M 20.82
Held up flat Friday, finishing with a doji after a nice bounce off the lows at the 200 day SMA (21.44). Not a great move for the downside play, but giving it time to fall next week. A pretty key level to give up to keep the play in shape.
End part 2 of 3
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us stock market
trading system
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