|
|
us stock market, trade stock
Begin part 2 of 3
CONTINUING PLAYS TABLE
* * 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 09/22 PreAnn 162.23 -4.56 148.22 169.75 59M 4.8M 164.87
Current. Target was raised to 190 and it gapped higher but was hammered in the afternoon selling. Managed quite a rebound, however, making it back over the 10 day EMA after undercutting the 18 day EMA intraday.
AAPL 08/21 PreAnn 162.23 -4.56 131.45 149.95 59M 45M 164.87
Current.
AMX 10/06 Rev HS 66.40 +0.74 65.77 75.95 12M 7.5M 63.92
Current. Gapped higher and surged over 68 but gave most of it back in the selling. Still looks super to continue the run higher.
ANST 09/06 Cup hdl 32.60 -0.32 30.68 35.35 131K 450K 32.88
BCSI 10/09 Asc Bse 44.71 -2.53 42.99 49.48 3.4M 1.2M 44.98
Current. Gapped higher but it tool sold in the afternoon selling, giving back much of the strong Wednesday gain. Volume was lower but still high as it came back. Looking for it to hold around 43.50.
BHP 10/04 Test BO 83.66 +1.62 79.31 94.75 9.7M 4M 81.11
Current. Gapped higher and surged to 87 before it came back and gave up most of the gain. Still strong despite the doji still looking for more even if it tests a bit more before it resumes the move higher.
BHP 09/06 Asc Bse 83.66 +1.62 65.44 78.95 9.7M 5.9M 81.11
Current.
BIDU 09/29 Test BO 308.78 -34.39 304.92 355.00 20M 5M 337.89
Target Hit. Took some interim gain as BIDU surged higher. Then it was the subject of that report questioning its earnings and it tanked. Managed a bounce off the 18 day EMA but not much of a rebound. Key point for it to hold (299).
BRCM 09/18 DB hdl 39.53 -0.89 38.32 44.85 12M 11M 38.92
Ran higher despite the chip downgrades, but it too rolled over. Not that bad of selling for BRCM, and a bit more pullback and you can pick up some more positions.
BUCY 10/02 Cup hdl 75.43 -2.17 75.91 87.45 412K 1M 73.97
Buy Not Issued.
CAT 10/02 Dbl btm 79.44 -1.72 80.55 90.75 6.7M 10M 80.32
Current. Hit hard on rising volume, but bounced off the 90 day SMA on the low. This is where you would expect it to hold and rebuild.
CELG 07/28 Rev HS 72.15 -3.03 61.10 69.95 5M 5.5M 72.98
Current. Strong session Wednesday, stronger downside Thursday as it was crushed down to the 18 day EMA where it managed a modest bounce. That is where it has to hold (71.50ish).
CF 10/09 Test BO 71.07 -2.73 74.88 89.95 2.3M 1.9M 71.35
Buy Not Issued. Gapped then rolled over on strong volume. Will see if it can make a stand here at the 18 day EMA.
CMED 10/10 Test 18 37.55 -2.93 41.87 47.95 1.9M 900K 37.32
Entered today. Sure looked solid with the nice move higher on solid trade, and then after the BIDU story all Chinese stocks were crushed. Managed to recover over the 50 day EMA on the close, and given the strong recovery off the lows we left it to see if it will rebound over 40.
CMI 09/22 PreAnn 136.89 -2.15 131.55 151.95 1.9M 2.4M 134.98
Current. Very orderly, testing the 10 day EMA on the low and bouncing on rising, average volume.
CMTL 09/15 PreAnn 54.53 -2.56 48.05 55.45 461K 690K 55.21
Trailing Stop. Gapped higher and rolled over so we took the gain off the table.
CNH 10/09 Test BO 59.95 -1.31 61.68 71.95 317K 500K 58.65
Buy Not Issued. Nice surge but it sure could not hold it, closing over the 10 day EMA. Will see if it can reload.
COG 10/06 DB hdl 36.98 +0.39 37.57 43.65 877K 1.3M 35.91
Buy Not Issued. Nice surge early then it came back for a modest gain. If it continues higher on some trade it is a buy.
CPHD 08/16 Test BO 23.24 -1.34 18.72 22.48 1.3M 1.2M 23.61
Trailing Stop.
CRDN 09/29 PreAnn 75.32 -2.58 76.88 89.95 429K 950K 73.65
Buy Not Issued.
CROX 09/24 Asc Bse 66.03 -1.00 62.51 74.95 4.9M 6.6M 65.77
Current. Tapped the 18 day EMA on the low and rebounded to the 10 day EMA. Still in nice shape.
CTRP 10/09 Test BO 47.98 -4.23 53.35 63.45 2M 900K 50.11
Exited. All things Chinese were hammered after BIDU.
DE 09/08 Test BO 152.78 -1.92 137.51 157.50 2.6M 4M 151.88
Current. Tapped the 10 day EMA in the afternoon selling and rebounded rather nicely to hold its trend.
DE 08/18 Dbl btm 152.78 -1.92 129.88 149.95 2.6M 4M 151.88
Current.
DNR 09/27 PreSplt 49.02 +0.30 46.20 52.95 1.1M 1.8M 47.18
Current. Gapped higher and held some of the gain on stronger volume. Just going to let it run.
DRYS 09/13 Test 18 113.14 -4.52 73.55 87.88 5.7M 2.2M 114.89
Trailing Stop. May have gotten too fidgety on this one, but after that super high volume doji following a strong run we took the rest of the gain.
DVA 09/11 PreAnn 64.48 -1.08 61.65 69.95 378K 800K 63.88
Current.
DVN 10/04 PreAnn 87.90 +0.85 86.05 98.95 4M 4M 84.78
Buy Not Issued. Gapped higher but showed a doji in the selling. A bit of a pullback sets up a better buy.
EDU 10/10 Test BO 65.99 -2.01 68.61 78.95 785K 475K 64.38
Entered today. Looked great then rolled over with the China selling. It did a nice job of bouncing off the 10 day EMA and still looks quite nice overall.
ENR 09/05 Rev HS 117.02 +0.06 109.61 125.95 326K 870K 115.22
Current. Doji that tapped the 10 day EMA on the low. Very nice testing action.
EPIQ 10/01 Test BO 19.61 -0.62 20.43 24.45 271K 350K 19.24
Current.
FCX 09/26 Test BO 113.46 -3.62 106.77 125.95 16M 12M 115.38
Current. Charged higher then rolled over but held easily above the 10 day EMA. Want to see it hold near here and continue its nice move.
FCX 09/06 Rev HS 113.46 -3.62 92.85 107.00 16M 12M 115.38
Current.
FLIR 09/24 Test BO 57.47 -1.66 55.84 63.45 588K 1.3M 57.39
Trailing Stop. Maybe a bit too defensive but took the money. Will see if it holds and gives another buy.
FLS 10/01 Test BO 77.96 -1.43 80.43 91.95 619K 850K 77.94
Current. Hard drop to the 18 day EMA on the low, but it held it and bounced some so we decided to let it ride and see if it can bounce more.
FTK 09/26 Test BO 48.17 -2.13 47.29 54.95 747K 550K 47.44
Current. Reached way down to the 18 day EMA but then reversed to hold the 10 day EMA on the close.
FTK 09/10 Test BO 48.17 -2.13 38.32 45.45 747K 550K 47.44
Current.
GILD 09/20 Rev HS 42.32 -0.66 40.02 46.55 7.9M 9.5M 41.77
Current. Sold back on some rising trade but still in solid shape.
GLDN 09/05 DB hdl 86.31 +2.24 73.36 83.95 605K 589K 81.88
Current. Ignored the selling though it did close off its high. Nice.
HOLX 09/25 Dbl btm 66.35 +0.98 58.58 66.95 3.7M 1.6M 64.28
Current. Surged higher to 67.84 but got the pullbackitis with the market in the afternoon. Still held onto a gain to the close.
ICE 10/03 DB hdl 156.40 -6.30 157.81 179.89 1.8M 3M 159.97
Exited.
LZ 10/08 Rev HS 68.24 +0.08 68.55 78.95 476K 818K 65.94
Buy Not Issued. Nice doji on the session, minding its own business. Looks to be ready.
MBT 10/04 Test BO 74.27 +0.14 73.21 86.95 2M 1.8M 72.88
MON 09/08 Test BO 90.79 +2.01 71.15 81.95 9.2M 4.5M 87.05
Current. Up $2 but that was a mere shell of the gains as it ran to 94 on the high. Sill ridiculously strong but watching it here as volume has surged on this last jump higher.
MON 08/07 Test 50 90.79 +2.01 67.60 75.95 9.2M 5M 87.05
Current.
MT 10/06 Test BO 78.57 +0.44 78.42 90.45 3M 2.4M 74.22
Buy Not Issued. Gapped higher then rolled over to flat. Steel stock, but it is foreign so we will watch to see if it can resume the move higher from here.
MTW 09/26 Test BO 47.00 -1.05 45.93 53.95 1.3M 2.5M 47.04
Trailing Stop.
NILE 10/02 Test BO 97.58 -2.50 96.79 113.95 646K 600K 96.97
Current. Tapped the 18 day EMA on the afternoon low and rebounded to hold the 10 day EMA on the close.
NOV 09/10 PreSplt 77.02 -0.42 66.97 74.48 6.3M 3.5M 74.48
Current. Not bad at all. Gave up the early move but also bounced well off the afternoon selling.
NVDA 09/18 Test 18 35.27 -1.64 35.54 43.75 13M 16M 36.38
Exited.
OII 09/29 PreAnn 84.33 +2.87 76.15 90.95 980K 900K 82.08
Still moving higher and on volume, hardly giving up its gains in the afternoon.
PCP 10/06 PreAnn 145.45 -2.03 152.48 172.45 1.4M 2M 147.57
Exited.
PCU 09/13 Rev HS 136.52 +1.06 113.35 131.95 4M 3M 132.77
Current. Held up find, bouncing nicely off the 10 day EMA in the afternoon sellathon.
RESP 09/18 Asc Bse 50.80 +0.06 49.38 56.85 210K 553K 49.62
Current. Holding steady on low volume as everything burned. That is good relative strength.
RIG 09/25 Cup hdl 115.28 +0.84 113.85 126.95 8.9M 8M 113.08
Current. Nice gap higher and was smoking on the high with a trade up to 118. Looking for that action to continue.
RIG 09/11 PreAnn 115.28 +0.84 109.95 126.95 8.9M 10M 113.08
Current.
RIMM 08/25 Test BO 111.00 -5.88 79.76 99.95 38M 30M 113.88
Current. Sold off of course as it is one of the leader techs, but it rebounded to recover and close well above its 10 day EMA (108). Need to see the volume ease back and for RIMM to hold near this level.
SAY 10/06 Dbl btm 26.57 -1.47 28.05 32.85 1.7M 1.4M 26.48
Buy Not Issued. Dropping.
SCHN 10/08 PreAnn 71.01 -1.69 72.22 88.95 627K 820K 69.89
Buy Not Issued. May have a hard time with the most recent warning from ATI after hours.
SLB 09/26 Test BO 108.58 +0.32 106.19 121.95 10M 11M 105.88
Current. Gave back most of the gain up to 111 on the session, but SLB is showing it is ready to move higher here.
SOHU 09/29 Test 18 42.30 -1.83 40.35 47.95 2.4M 1M 42.11
Current. Surged to 46 then was tossed into the fire in the afternoon. Still in its uptrend because it was such a solid mover into the afternoon selling.
SPIL 10/08 Test BO 11.88 -0.21 12.57 15.11 1.9M 2.3M 11.74
Buy Not Hit. Managed to hold the 18 day EMA on the close so we will let it show us if it has the stones to make the breakout.
SU 10/10 Cup hdl 99.06 +2.09 98.72 112.95 3.8M 2.6M 96.88
Entered today. Closed well off the high at 101 but very nice solid action. Very nice.
SYK 09/27 Cup 73.13 -0.20 70.88 81.45 1.3M 2.3M 71.89
Massive gap higher then it sold off to flat. Just taking a breather from the look of it.
TEX 09/22 PreAnn 86.88 -1.58 85.32 99.90 1.3M 2.4M 87.68
Current. Sold off to the 18 day EMA on the low, managing a modest bounce. Below average volume, so no distribution and should bounce from here, giving us a new buy point as it does.
TRMB 09/20 Cup hdl 42.00 0.00 36.99 42.88 1.2M 900K 40.69
Current. Holding flat on the session as it continues working higher.
TTC 10/09 Rev HS 58.46 -0.80 60.12 68.95 297K 500K 58.12
Buy Not Hit.
VIP 10/06 Test BO 30.14 +0.03 29.50 35.35 4.8M 3.4M 28.45
Current. Big surge up to 32 on the high before the afternoon selling brought it back to flat. Still solid, still ready to move.
WFR 10/04 Flat 62.11 -3.06 65.88 74.85 6.2M 5.5M 62.64
Exited.
XTO 09/29 PreAnn 65.00 +0.33 64.42 77.75 3.8M 6.3M 63.05
Current. Nice surge higher to 66.50 but gave most of it back in the selling. Still solid, still ready to move higher.
YUM 10/06 Rev HS 37.20 -0.91 35.83 40.88 4.8M 4.2M 36.95
Current. Gave some ground back but lower trade and held up well.
End part 2 of 3
|
us stock market
trade stock
|