InvestmentHouse.com Members Archives
Archives
 

stock pick, stock option

Begin part 2 of 3

New plays contained in part 3

CONTINUING PLAYS

* * 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://stocksplits.net/ssr/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

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 09/05 Cup hdl 72.63 +0.13 71.72 79.95 60M 29M 69.95
Current. Tapped 71.45 at the intraday low and rallied back showing a doji on very strong volume surge. Doji on strong volume may indicate that stock is ready for its next move up after this short breather.

AAPL 08/21 Cup hdl 72.63 +0.13 68.12 78.00 60M 40M 70.85
Current.

AEOS 08/10 Cup hdl 42.14 +0.70 35.46 42.45 6.2M 2.5M 41.00
Target Hit. Another strong move but started to fade off the high
after a strong run the past week so we took some solid
option gain given they are November options.

ASMI 08/26 Cup hdl 17.71 +0.26 17.75 21.21 387K 285K 17.11
Entered today. Bounced off the 10 day MVA on strong volume surge. Did come off the day's high of 17.90. Looking for stock to continue with the move.

CERN 08/23 DB hdl 46.64 +1.36 46.58 53.55 484K 1.4M 44.62
Buy Not Issued. Volume not there to enter the play. If stock continues the move tomorrow on strong volume will still be a buy.

CTRP 08/26 Cup 51.15 -0.48 51.65 57.89 300K 601K 51.11
Current. Pullback tapping 50.70 at the intraday low and rallied back showing a doji just under the 10 day MVA on rising volume. Doji may indicate a change in pattern to the upside.

CTSH 08/19 PreAnn 71.70 +2.08 71.11 79.00 1.1M 1.8M 68.22
Buy Not Issued. Although rising still not enough volume to enter the play. May let test back.

CVD 09/08 Asc Bse 65.45 +1.16 64.17 71.98 484K 732K 63.71
Current. Great move up the 10 day MVA on much stronger above average volume making a 52 week high.

CWTR 09/09 Cup hdl 28.73 +1.04 28.66 34.45 1.4M 2.3M 27.15
Entered today. Took a partial position even though volume was not quite there. CWTR is a good stock. Tested the 10 day MVA intraday and rallied back on rising volume for a great move.

CXW 09/07 PreSplt 67.35 +1.17 64.95 70.00 521K 400K 66.21
Current.

DE 09/09 PreAnn 81.10 +1.42 82.78 93.00 3.1M 4M 79.95
Buy Not Hit. Tested the 10 day MVA intraday and rallied back on above average volume. Still in the pattern.

DIOD 09/09 Asc Bse 40.86 +2.39 39.64 46.32 574K 500K 38.11
Entered today. Exploded higher on excellent volume surge.

HYSL 09/05 Rv H&S 35.59 +1.44 33.90 38.90 1.2M 1.1M 34.48
Current. Another great move up the 10 day MVA on excellent volume. Moving up after testing the 18 day MVA.

IGT 09/07 Asc Bse 39.25 +0.74 39.35 45.50 2.8M 2.3M 37.45
Buy Not Issued. At the door on rising, above average volume. A further move & it is a buy.

LVS 09/09 PreAnn 72.14 +2.91 70.25 80.00 2.6M 3.4M 69.95
Entered today. Tested the 10 day MVA intraday and rallied back for an explosive move on much stronger volume.

MOLX 08/28 Cup hdl 36.95 +0.59 36.72 40.95 630K 550K 36.25
Current. Bounced off the 10 day MVA on stronger above average volume. Meeting some resistance at 37 established in April.

MOLX 08/10 Test 50 36.95 +0.59 34.72 40.95 630K 625K 36.44
Current.

NVDA 09/05 Test BO 28.87 +0.74 27.85 32.95 8.3M 10M 26.38
Current. Bounced off the 10 day MVA for a nice move on below average volume. Moving up after testing the 18 day MVA.

NVDA 08/23 Test BO 28.87 +0.74 26.58 31.00 8.3M 10M 28.32
Current.

NVDA 08/08 Test 20 28.87 +0.74 25.45 31.00 8.3M 12M 28.32
Current.

PLMD 08/28 Cup hdl 41.15 +0.27 39.68 45.75 211K 423K 39.78
Moving up on rising volume after testing the 18 day MVA.

PSYS 09/07 Cup hdl 35.98 +3.72 33.05 38.00 3.1M 966K 31.50
Buy Not Issued. Gapped higher on news it was being added to SP400. think this might have leaked last Friday when volume surged late? Of course. Will there be an investigation? No. They will go after some guy who bought 10 option contracts instead of the usual 5 instead.

QSII 08/30 Test BO 40.80 +0.32 41.29 46.70 120K 425K 39.65
Current. Tested the 10 day MVA intraday and rallied back on low volume. Moving up after routine pullback.

QSII 08/09 Test BO 40.80 +0.32 37.45 45.00 120K 500K 39.65
Current.

SPIL 08/30 DB hdl 6.25 +0.10 6.15 7.40 2.3M 1.6M 5.95
Current. Tapped 6.03 at the intraday low and rallied back on lower, but strong volume. Continue with the uptrend.

SRCL 09/02 PreAnn 66.44 +1.05 65.62 76.75 94K 381K 64.65
Buy Not Issued. Volume not there to enter the play. Will let test back.

THQI 09/09 DB hdl 27.64 +0.47 27.44 31.75 1.4M 2.1M 25.65
Buy Not Issued. Although rising still not enough volume to enter the play.

TRMB 08/30 Test 50 48.31 +0.47 49.25 57.50 409K 625K 47.85
Buy Not Hit. Tested the 50 day MVA intraday and rallied back on 18 day MVA on rising volume. Looking good.

VAR 08/29 DB hdl 53.58 +1.49 53.15 59.95 572K 1.5M 51.95
Buy Not Issued. No volume to enter the play. IF stock continues the move tomorrow with strong volume will still be a buy.

VIP 08/21 Cup hdl 59.65 +1.63 50.88 58.50 1.3M 1.2M 58.95
Current. Nice move up on lower, but strong volume. Meeting some new resistance at 60.

WEBX 09/11 Test BO 38.49 +1.61 37.44 42.88 1M 600K 36.55
Entered today. Bounced off the 10 day MVA for an excellent move on strong volume surge.

WST 09/09 PreAnn 41.89 +1.02 40.90 46.90 324K 350K 40.21
Current. Another nice move up the 10 day MVA on much stronger volume surge.

WYNN 08/29 PreAnn 76.13 -0.96 78.38 88.00 3.1M 1.2M 75.68
Current. Pullback testing the 18 day MVA intraday and rallied back on strong volume surge. May continue to test the 18 day MVA (75.58)

XRAY 09/11 Test 50 32.23 +0.03 32.45 36.50 833K 740K 31.55
Buy Not Hit. Tested the 50 day MVA and rallied back holding just below the 18 day MVA on stronger above average volume. Beginning to make lateral move running parallel to the 18 day MVA.

Downside Plays
Stock Date Play Close +/- Pivot Tgt Vol TgtV Stop
ATW 09/09 Put 40.80 -0.55 43.00 40.65 530K 385K 41.65
Target Hit. Hit the target as stock continued to tank.

CRI 08/24 Put 24.27 +0.89 21.84 19.80 503K 850K 22.55
Exited.

ISLE 09/07 Put 22.06 +0.55 22.54 19.50 219K 475K 22.89
Buy Not Issued. Very low volume bounce up thru the 10 and 18 day EMA. Going to let it move to the 50 day MA (22.79) & then pick it up as if turns back over.

RS 09/09 Put 30.27 +0.46 30.95 29.40 722K 1.2M 30.15
Target Hit. Gapped higher and showed a doji so it was time to close
this leg and look for it to rebound & set up the next move.

TTC 09/06 Put 42.22 +2.02 39.21 37.79 445K 445K 39.90
Exited.

XPRSA 09/06 Put 21.14 +0.98 19.23 17.70 153K 245K 20.48
Exited.

End part 2 of 3


stock pick
stock option