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us stock market, stock symbol
Begin part 2 of 3
New plays contained in part 3
CONTINUING PLAYS
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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
ALJ 07/08 DB hdl 33.36 +1.27 35.38 41.31 242K 400K 32.98
Current. Nice performance in a strong then weak oil market.
Held the 18 day EMA (32.25) and added some upside.
After the breakout fade it is holding up well.
ATML 07/11 DB hdl 5.17 +0.04 5.42 6.50 16M 15M 5.04
Buy Not Hit. Doji that tapped the 50 day EMA on the low (4.95) and
rebounded for a gain, once more on very strong volume.
Solid. Needs to show the breakout.
BOT 07/17 Test 50 112.26 +1.26 113.65 127.50 237K 400K 109.25
Buy Not Issued. Another nice doji on low volume over the 50 day EMA
(109.42) as it continues to set up for the bounce.
Looks nice.
CHIC 07/17 Test BO 23.01 -0.13 23.32 27.98 737K 475K 22.22
Buy Not Hit. Gapped higher on volume, but with the issues in the
retail sector it could not hold it. Still in good shape
but need to see how the reatil sector pans out.
CSH 07/10 Cup hdl 37.13 +1.38 35.09 41.75 457K 300K 34.57
Current. Excellent surge higher on a resumption in volume sends
CSH to a new closing high. While much of retial struggled,
again, this sector benefits from some trouble for the
consumer. Not total trouble, but some trouble.
DADE 06/26 Asc Bse 38.40 -0.51 40.40 46.50 370K 951K 39.78
Current. Sold some, fading to the 200 day MA (37.99) on the
low and rebounded to recoup losses. Low volume after
stronger volume reversal Monday. Let it ride again
but needs to move through 39 and hold it on the close.
DIA 07/06 Test 50 108.07 +0.67 110.95 115.70 11M 8.2M 110.75
Current. Gapped higher, reached to 107 again on the low, and
then rebounded to close positive on a strong shot of
volume. Held the June low again and bounced. Looks
as if it means business.
DIA 07/05 Test 50 108.07 +0.67 112.04 115.70 11M 8.2M 111.05
Current.
EEFT 07/06 Cup hdl 34.64 -0.08 37.65 43.00 243K 500K 36.57
Buy Not Hit.
EEFT 06/24 Cup 34.64 -0.08 36.04 43.00 243K 500K 37.00
Current. Doji that tapped 34 on the low and recovered to flat.
Low volume. Still in the test, but this is where it
has to hold and deliver the upside once more.
EXC 06/12 PreAnn 58.20 +0.02 58.95 67.85 3.3M 4.5M 56.95
Buy Not Hit. Geez. Continues to look good in its pattern but refuses
to move through this resistance thus far.
EYE 07/10 Test BO 50.83 +0.61 51.05 57.50 517K 1.4M 50.11
Current.
EYE 06/19 Test 50 50.83 +0.61 48.20 56.30 517K 1.8M 50.55
Current. Gapped higher to the 10 day EMA and rallied modestly
on very low volume. Not bad in the grand scheme and
still clmibng up the 18 day EMA (49.99).
EZM 07/12 Cup hdl 2.44 -0.03 2.69 3.65 2.7M 7M 2.50
Buy Not Hit. Still in teh handle, reaching lower to the 50 day SMA
on the low (2.38) and rebounding to close at the 18
day MA. Good shakeout & still set to move.
FIZ 07/12 DB hdl 15.92 -0.33 16.55 19.97 232K 251K 15.55
Current. Testing the breakout, tapping at the 10 day EMA (15.70)
on the low ane rebounding. This is where it should
hold and continue bubbling higher.
FLS 07/05 DB hdl 53.16 +0.16 55.52 64.00 350K 750K 53.38
Current. Sold down to 52 on the low but rebounded to close just
below the 50 day EMA (53.47) once more. Not a bad pattern
& looks to be setting up the right shoulder to a 10
week reverse H&S pattern.
FTO 07/13 Test BO 33.56 +0.69 33.25 39.95 2.9M 3.5M 32.97
Current.
GLD 07/05 Test 50 62.90 -1.05 62.68 72.00 7.6M 10M 63.95
Current. Tanked to the 50 day SMA on the close but volume was
lower so let it run to see if it gets a rebound Wednesday.
GLG 07/15 DB hdl 34.58 -1.04 38.25 45.95 2.3M 3M 36.15
Buy Not Hit. With gold losing another 22 ticks this is looking more
like a put as it breaks below the 50 day EMA on much
stronger volume.
GME 07/13 Dbl btm 39.44 +1.77 39.89 47.75 1.3M 1.5M 38.05
Current. Great recovery from the Monday selling, rallying up
to close just above the 200 day MA on rising volume.
The pattern is holding & ready to break higher from here.
GRMN 07/05 Test BO 101.19 +1.93 102.50 118.00 1.5M 1.4M 99.00
Current. Moved up through the 10 day EMA at 100, the latter
a psychological barrier. Good move clearing resistance
and setting the stage.
HELX 07/17 Cup hdl 48.11 0.00 39.35 47.35 653K 2.7M 37.35
Buy Not Hit. Symbol now HLX. Low volume test toward 50 day EMA (36.52)
and recovered on low volume. Still shaking out in the
handle, still in play to break higher when the weakness
in energy this week dissipates.
HNR 07/15 Cup hdl 13.87 -0.19 14.57 17.50 242K 395K 13.69
Buy Not Hit. Sold a bit more, tapping at the 18 day on the low but
closing back up at the 10 day EMA. Low volume so no
sellers. Just pausing as the energy market gets its
stuff back into one pile for the next move higher.
HUM 06/22 Rv H&S 55.82 +0.71 52.48 62.95 1.5M 2.9M 54.78
Current. Gapped lower but held some support at 54 and shot back
up for a nice gain on rising volume. Good recovery,
holding its breakout test at near support.
HURN 07/17 Test 50 32.75 +0.32 32.82 39.45 62K 199K 31.88
Buy Not Issued. Gapped higher, trying to continue off the 50 day EMA
but no volume at all & thus a very volatile session
that saw it back at the 50 day and up to 33.39 on the
high. Still set up nicely to move.
ICUI 06/30 DB hdl 42.05 -0.01 42.78 50.95 177K 173K 40.88
Buy Not Issued.
JCP 06/17 Asc Bse 63.37 -2.29 67.42 77.45 5.7M 3.3M 67.11
Exited.
LEAP 07/08 Test BO 46.50 0.00 47.55 55.38 413K 567K 46.05
Current. Another tight doji at support at 46. Not a bad low
volume test. This is where it needs to hold and continue
the move. Really handling the market weakness well.
MED 07/15 Test 18 18.54 +0.73 18.91 23.25 614K 1.4M 17.59
Buy Not Hit. Nice recovery, moving back through the 18 and 10 day
EMA. Volume still low, but looking solid for a break
higher. Moved the buy point to better leverage into
the play if it can show us the volume.
MHS 07/15 DB hdl 58.05 -0.04 58.65 67.75 1.1M 3.1M 57.11
Buy Not Issued. A tight doji over the 10 day EMA (57.62) on low volume.
Still forming the handle, still looking positive in
a more defensive sector.
OII 07/10 Test 18 42.69 +0.44 43.60 52.50 1.4M 1.7M 42.95
Current. Not bad action in a weak energy market Tuesday. Undercut
the 18 day EMA (42.49) but managed a rebound to hold
that level.
PRXL 07/06 DB hdl 28.03 +0.23 29.32 34.75 169K 404K 27.97
Buy Not Hit. Trying to come back up but volume fading as it does,
closing Tuesday at the 50 day SMA. Still a nice pattern
but has to show some volume on the break higher thru
the 50 day.
SOX 07/11 Asc Bse 405.24 -1.53 428.34 455.00 0 0 423.55
Current. Big reach lower to 394.56 but a furious recovery to
hold the bottom channel of the trend lower. Broken
record: ready to bounce, ready to bounce, ready to
bounce . . .
UTSI 07/12 Test BO 7.72 +0.16 7.89 9.50 2M 2.5M 7.34
Buy Not Issued. Not bad at all, coming off the intraday test of the
18 day EMA Monday on some rising, average trade. Getting
ready to flash a buy signal if this volume continues.
VLO 07/05 DB hdl 63.85 +0.78 64.75 78.50 8.3M 15M 62.45
Buy Not Hit. Again tested the 50 day EMA on the low (62.54) & rebounded
for a gain but on below avg trade. Set up well after
this shakeout to give us the breakout. Moved the buy
point to account for this dip. Nice set up.
Downside Plays
Stock Date Play Close +/- Pivot Tgt Vol TgtV Stop
AXE 06/19 Put 45.44 +0.06 46.38 43.05 139K 275K 45.55
Don't like the action here. Time to close it.
CX 07/13 Put 55.69 +1.19 56.24 53.70 2.4M 2.5M 55.45
Found some strength on rising volume as it pushed up
thru the stop. Time to close it.
VCLK 06/28 Put 13.83 +0.25 15.22 13.31 1.2M 1.8M 13.68
Gapped higher then gave us a break when it tested lower
again. That was the time to get out as it managed a
rebound in the afternoon.
End part 2 of 3
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