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us stock market, trade stock
Begin part 2 of 3
CONTINUING PLAY LIST
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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 09/22 PreAnn 182.78 -3.15 148.22 169.75 35M 4.8M 182.55
Current. Faded back a bit more from that earnings gap higher but volume was lower and below average. The MSFT earnings show the market is still alive for the PC and other gadgets and thus AAPL should have some renewed vigor on Friday.
AAPL 08/21 PreAnn 182.78 -3.15 131.45 149.95 35M 45M 182.55
Current.
ALGN 10/17 Rev HS 19.07 -9.63 28.55 34.78 13M 1.3M 27.11
Exited. Guided way down for Q4 and got its teeth kicked in.
AMX 10/06 Rev HS 64.14 -2.22 65.77 75.95 14M 7.5M 66.48
Current. Thumped down to the 50 day EMA, but there it held so we let it hold over to see if that high volume at that level can push it back up.
BBBB 10/16 Test BO 46.56 +0.19 46.49 54.97 216K 425K 45.11
Current. Not bad, just a low volume move laterally as it continues setting up for the next break higher.
BCSI 10/22 Test BO 41.11 -2.49 47.11 56.65 1.9M 2.5M 45.21
Buy Not Issued. Dropping. We will watch how it plays off of this 50 day EMA pullback.
BCSI 10/09 Asc Bse 41.11 -2.49 42.99 49.48 1.9M 1.2M 49.44
Exited.
BEAV 10/18 Cup hdl 45.03 +0.17 45.25 53.00 581K 1.7M 43.11
Buy Not Issued. Continues to look good, but continues to move laterally on below average volume. Needs to give us a good look higher.
BGC 10/24 Cup hdl 68.62 -2.61 72.11 82.95 1.2M 2.6M 69.48
Buy Not Hit. Cable snapped and it fell to the 50 day EMA. Dropping for now but will keep watching to see if it can get wired back up.
BHP 10/04 Test BO 82.40 +1.05 79.31 94.75 4.2M 4M 82.28
Current. Nice hold at the 18 day EMA as BHP looks to be setting up for another break higher.
BIDU 10/22 Test 18 334.30 -1.70 329.55 375.85 6.6M 6M 341.24
Current. Second down session but holding up nicely above the 10 day EMA. Just going to let it get its feet and continue the break higher.
CELG 10/22 Test 50 64.22 -5.96 70.22 80.95 22M 4.1M 68.22
Buy Not Issued. Gapped lower on its outlook, not its reported earnings. Hit the 200 day SMA on the low and rebounded 4 points to close at the 90 day SMA. Dropping for now.
CF 10/09 Test BO 84.70 +1.58 76.22 91.45 8.2M 1.9M 82.31
Target Hit. Took some solid interim gain as CF continued its move higher with a nice surge the past three sessions. Not bad 11.4% stock and 50% option gain ($540/contract). Letting the rest continue to run higher for us.
CIEN 10/13 Test BO 46.00 +0.66 45.23 55.65 2.7M 3.3M 43.72
Current. Solid session, holding near support at the 10 day EMA on lower volume.
CMC 10/18 Cup hdl 34.43 +0.03 34.88 42.95 1M 1.5M 33.22
Buy Not Hit. Still set to make the breakout move; just have to be patient.
CRNT 10/24 Cup hdl 18.08 -0.55 19.55 23.48 720K 2.4M 18.18
Buy Not Hit. Pulling back a bit further in the forming handle, closing above the 10 day EMA. Very nice and just being patient for the break higher.
CSX 10/18 Rev HS 44.22 -1.06 45.11 52.95 4.3M 7.2M 44.11
Buy Not Issued. Looked good early but then the rails ran off the tracks in the afternoon. Still forming up nicely; just have to be patient.
CTDC 10/17 Test BO 9.27 -0.01 9.81 12.00 650K 2M 9.12
Current. Tried to resume the upside move but stalled and fell to the 10 day EMA on the close. Still some really nice action and just giving it the time it needs to make the break higher.
CTRP 10/17 Test BO 50.61 -0.10 52.65 62.95 506K 1M 50.78
Current. Held the line on lower trade after the Wednesday high volume churn. Needs to hold this 50 level and finish the consolidation and give us a new break higher. Needs to hold this 50 level.
DSX 10/15 Test BO 39.91 +0.53 34.10 40.95 2.3M 2.5M 38.95
Target Hit. After a great surge DSX showed some issues at 40 for the second straight session so we banked part of the 14% stock and 43% option gain.
EDU 10/22 Test BO 83.79 +8.14 76.28 87.45 1.2M 550K 81.48
Current. Now we could have taken some gain here, but the move was so powerful we decided to let it run and see if it will give us another 3 or 4 clicks higher Friday and then we will bank some major bucks.
EDU 10/10 Test BO 83.79 +8.14 68.61 78.95 1.2M 475K 81.48
Current.
EJ 10/22 Test 18 30.13 -0.67 29.71 35.95 1.2M 1.4M 28.68
Current. Not bad, just taking a breather after the massive upswing on Wednesday.
ELN 10/20 Test BO 23.04 +0.07 23.65 28.45 3.4M 4.2M 22.55
Buy Not Issued. Still looks ready. Still. Still waiting as well, but it is going to come.
ESRX 10/11 Test BO 60.94 +3.57 58.50 69.95 8M 2.5M 59.89
Current. Gapped higher on earnings and traded up to 64 and down to 59, finishing in the middle. Going to let it continue to work higher for us as there is more here than just this gap.
FCX 10/13 Test BO 112.83 +0.99 117.92 134.95 8.5M 12M 111.77
Current. Nice solid session as FCX continued its recovered over the key 110 level.
FWLT 09/24 Test BO 149.03 +4.27 130.65 149.95 1.7M 2.4M 146.42
Current. Another leader that struggled but has recovered to the recent highs at 150. Key point for it to clear and hold on a test.
FWLT 09/11 Rev HS 149.03 +4.27 121.21 144.50 1.7M 3.5M 146.42
Current.
GILD 10/24 Cup hdl 45.51 +1.55 44.95 53.45 14M 10M 43.88
Entered today. Blast off. Nice volume, nice price move.
GLNG 10/23 Test 50 25.83 +0.19 25.95 31.22 253K 445K 24.55
Buy Not Hit. Still set to make the move, just taking the day off Thursday.
GRMN 10/22 Test 18 118.14 -3.67 119.11 140.45 5M 6.5M 117.89
Current. Tougher session as it sold on the TRMB earnings, but it did hold above the 10 day EMA and the volume was lower than the strong Wednesday upside session. Just going to let it work for us.
HOLX 09/25 Dbl btm 66.22 -1.19 58.58 66.95 2.7M 1.6M 66.21
Current. Tested the 18 day EMA on the low once again but rebounded. Lower trade. Letting it make this test but needs to keep holding above the 18 day EMA (65.19) on the closes.
IMO 10/20 Rev HS 50.42 +1.57 50.78 60.95 193K 300K 48.39
Buy Not Hit. Hung in there really nicely during the recent energy strife, and it is on the cusp of the breakout move.
NDAQ 10/20 Cup hdl 43.67 +1.17 41.68 49.88 4.5M 3M 42.31
Current. Another nice surge, the fourth in a row. Closed off the high a bit (44.50). Going to let it keep working for us and on a test we will look to add positions as it rebounds.
NTCT 10/11 Test BO 12.54 -1.17 11.67 13.95 404K 500K 12.98
Turned over from the peak harder and it was time to take it off the table and see how this test plays out.
NVDA 10/22 Test 18 34.70 -3.32 39.65 47.55 20M 15M 36.95
Buy Not Issued. Brutalized on a downgrade. Was up some on the MSFT earnings. We will see how it responds but dropping now.
NYX 10/23 Cup 90.80 +0.80 88.85 99.95 7.3M 5M 88.94
Current. Added a modest gain onto the great moves this week. On a test we will look to add some positions just as with NDAQ.
PCU 10/16 Test BO 131.87 -0.38 135.89 156.95 1.3M 2.5M 129.65
Current. Nice, easy test of the 18 day EMA on low volume is setting up that next break higher. Very nice action.
RIG 09/25 Cup hdl 116.83 +2.49 113.85 126.95 7.2M 8M 115.31
Current. Nice continued move up off the 90 day SMA test, rising again on some strong, above average volume. Has reached the October highs and needs to punch on through.
RIG 09/11 PreAnn 116.83 +2.49 109.95 126.95 7.2M 10M 115.31
Current.
RIMM 08/25 Test BO 118.94 -4.96 79.76 99.95 24M 30M 121.68
Current. After the nice Tuesday surge it turned down toward the 10 day EMA on lower trade. Going to let it make the test of the 10 day (116.74) and wan tto see it hold there and continue its run. MSFT will help.
SCHN 10/08 PreAnn 74.61 +0.69 74.77 91.95 241K 820K 71.97
Buy Not Issued. Man, sure looks poised to make the move.
SGR 10/23 Test BO 74.77 +2.58 71.95 82.95 1.9M 1.5M 72.97
Current. Another nice gap and run higher.
SLT 10/23 Asc Bse 22.31 +0.40 22.88 26.98 3.3M 2M 21.32
Entered today. Gapped higher and we took some positions. Will add as it continues higher.
SNDA 10/23 Test 50 36.28 -1.65 38.34 45.95 2.2M 1.8M 36.94
Buy Not Hit. Not a banner session for SNDA as it turned down at the 10 day EMA on rising, above average volume. Will drop for now but keep watching. Sometimes we like to watch.
SNHY 10/20 DB hdl 32.89 -0.06 34.38 41.95 102K 358K 31.97
Buy Not Hit. Nice doji at the 18 day EMA as SNHY puts the finishing touches on the handle to its base.
STLD 10/20 PreAnn 54.00 +2.01 50.15 59.95 4.1M 3M 51.97
Current. Sweet or rather, strong, move higher on a volume surge as STLD leaps prior highs in a single bound. Just letting this baby run higher.
SU 10/10 Cup hdl 106.15 +1.67 98.72 112.95 2.9M 2.6M 104.00
Current. With oil over $90/bbl, even tar sands look lovely.
TIF 10/18 PreAnn 53.38 +0.61 54.78 65.95 2.4M 2.6M 51.95
Buy Not Hit. Held the 50 day EMA but that is about all as TIF has tarnished some. Dropping for now.
Downside Plays
Stock Date Play Close +/- Pivot Tgt Vol TgtV Stop
AMR 10/15 Put 23.44 -0.72 23.88 21.85 5.3M 8M 23.57
Current. Turned back down from the 90 day SMA on Wednesday and continued lower Thursday though volume dried up. Needs to clear the prior low from Monday at 22.72 on this run and close below that level.
DIA 10/24 HdShldr 136.90 +0.40 135.91 133.71 17M 20M 137.04
Entered today. Started lower and managed to rebound to the 50 day EMA, but it is showing a hanging man doji there and DJ30 just looks as weak as two bean coffee.
SPY 10/24 HdShldr 151.84 +0.36 151.18 147.70 229M 20M 151.68
Buy Not Issued. Decided to go with the DIA play as SP500 is a bit stronger. Can still fail so we are going to continue watching it for a play.
End part 2 of 3
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