InvestmentHouse.com Members Archives
Archives
 

us stock market, trade stock

Begin part 2 of 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://investmenthouse.com/daily/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 12/03 Test 18 191.83 +0.97 184.30 203.95 31M 45M 189.89
Current. Excellent action, tapping at the 10 day EMA on the low and rebounding for a gain. It is not surging, but in this market, sometimes holding your ground is good enough.

AAPL 11/20 Test 50 191.83 +0.97 175.11 198.95 31M 40M 189.89
Current.

BG 11/29 Cup 116.77 -1.03 116.55 133.85 890K 1.6M 121.48
Doji on low volume at the 18 day EMA. Looks ready to continue higher now along with the rest of the ag-play stocks.

BGC 12/05 Asc Bse 75.11 -0.67 79.36 91.95 916K 1.5M 79.91
Current. Tapped at the 50 day EMA on the low and rebounded to recoup losses. Low volume. Looks as if this test is over but will need some upside volume to drive it.

BHP 12/03 Cup 74.34 -1.84 76.44 87.95 3.5M 6.5M 76.39
Current. Gapped lower giving us little to work with. It sold further and tapped the 90 day SMA on the low, then bounced. Will see how acts as it moves up to the 50 day EMA (76) to try and fill the gap.

BIDU 12/06 DB hdl 387.00 -2.00 395.38 454.00 4.9M 9M 389.89
Current. Lost some ground but still some excellent action in its handle as it taps at the 18 day EMA on the low and rebounds to hold above the 10 day EMA.

CF 12/10 Cup hdl 98.39 +5.96 94.02 111.98 2.6M 3M 92.97
Entered today. Nice. Volume moved above average as CF broke sharply off the 18 day EMA. Took some juevos to move in so early in the session, but it was a solid pattern and in the right industry.

CHL 11/28 Test 50 87.77 -2.89 95.75 104.95 3.1M 4.5M 92.78
Current. China had a bad day and CHL gapped lower. It did hold above the 50 day EMA on the close and the way this one can run we were willing to let it give it a try. Plus, the gap lower gave us little else to do.

CLR 12/06 Cup hdl 26.34 +0.96 24.75 29.75 259K 475K 24.12
Current. Excellent surge higher even if it was not accompanies by any volume.

CME 12/04 Dbl btm 701.00 +12.83 681.23 745.00 621K 9M 698.65
Bounced up off the 18 day EMA for an excellent gain on rising, average volume.

CMED 12/10 DB hdl 42.68 -1.16 45.68 54.95 381K 1M 42.94
Buy Not Hit. China needed some help, but after tapping at the 50 day SMA on the low CMED did recover nicely. Low volume so this was just another day in the formation of a handle. Still looking for the break higher. The aggressive can move in on some strong volume upside even before it hits the buy point.

COST 11/13 FlyPlat 68.54 -1.65 69.10 78.95 17M 7.2M 69.97
Current. Costly day as earnings were in line but that was not enough. Major gap lower but then an impressive recovery closing at the 18 day EMA. Needs to continue higher ore we are not likely to hang around.

CXW 12/11 Cup hdl 29.74 -0.04 31.15 35.95 368K 1.2M 29.69
Buy Not Hit.

CY 12/04 Cup 35.17 -0.15 35.90 41.65 4.1M 7M 35.22
Current. Another doji over the 18 day EMA on low volume, still setting up to move higher.

DRYS 12/08 PreSplt 86.00 -2.30 93.48 111.95 2.4M 6M 88.78
Current. Struggled but held within the recent lows on the lowest trade in a month. Still in position to make a move upside.

EDU 11/29 Test 50 80.45 -0.75 80.15 95.95 333K 650K 84.89
Current. All the way down to the 50 day SMA on the low and then a rebound to basically flat. Very low trade. Just a good shakeout before the next run higher that is setting up.

EGOV 12/01 Rev HS 8.24 +0.18 8.05 9.95 219K 300K 7.62
Buy Not Issued. Breaking higher. If it continue this move it is a buy.

ESLR 11/15 Test 18 15.11 +0.70 14.17 16.95 5.7M 5.4M 14.31
Current. Gapped higher on some strong trade. Now it is looking as if it is going to make the move.

FLO 11/15 Asc Bse 24.05 -0.02 23.14 26.72 535K 706K 23.48
Current. Holding up well after gapping lower.

GILD 11/27 Dbl btm 46.21 -0.64 45.77 52.89 6.4M 7.8M 46.27
Current. Gapped lower and tapped at the 90 day SMA on the low before recouping some losses and closing above the 50 day EMA. Now want to see some strong upside volume. If it does we will look at some new positions.

GOOG 12/03 Cup hdl 694.05 -5.30 687.88 742.00 5M 8M 713.32
Current. Sold below the 18 day EMA only to recover and hold that level. Low volume and the look of a shakeout. Needs to hold the line here.

GOOG 11/17 Test 50 694.05 -5.30 659.65 724.95 5M 8.6M 713.32
Current.

IRM 12/11 Cup hdl 37.07 +0.08 37.95 43.95 283K 991K 36.22
Buy Not Hit. Ditto. Nice low volume test and recovery to flat, tapping at the 18 day EMA on the low. Getting very ready.

LFC 12/10 Rev HS 80.32 -2.68 84.48 99.95 2.5M 3M 82.78
Buy Not Hit. Gapped lower, managing to recover some lost ground, but volume was a bit much. Going to drop for now and see how it sets back up.

MA 11/10 Test BO 223.20 +9.30 191.89 219.95 4.8M 5M 214.32
Current. Surging yet again on rising trade. Consumer stock and it is on a rampage

MON 11/27 Test 50 104.99 +1.95 93.58 105.95 3.8M 5M 106.92
Current. Tapped the 18 day EMA on the low again and rebounded for a gain. Lower trade but not holding that against it in a very low trade ticker.

MR 11/28 Test 50 41.74 -0.26 39.62 45.55 1.6M 1M 42.32
Current. Gapped lower, sold to the 50 day SMA and looking particularly ugly. Then it caught a bid and recovered to flat on rising trade. May have found terra firma here.

MRK 11/27 Test 18 59.79 +0.07 59.96 69.31 8.8M 12M 59.38
Current.

MSFT 12/05 Test 50 35.22 +0.75 34.59 40.74 74M 90M 33.97
Current. Nice break higher off the 10 day EMA. Certainly does not look like it is weak.

NOV 11/29 Dbl btm 76.65 +1.62 70.56 80.95 4.2M 8M 66.76
Buy Not Issued. Now volume as NOV moves higher. Dropping for now as we wait for a test.

NUVA 12/10 Rev HS 42.11 +0.33 43.78 51.95 214K 642K 41.57
Buy Not Hit. Low volume as NUVA ignores the market, continuing to set up for its break higher.

NYX 11/01 Test BO 88.33 +1.38 91.29 99.95 3.1M 7M 89.94
Current. Tapped the 50 day EMA on the low and reversed for a gain. Maybe this time it will make the break. It is certainly set up to do so.

NYX 10/23 Cup 88.33 +1.38 88.85 99.95 3.1M 5M 89.94
Current.

ONXX 12/11 Cup hdl 55.06 -1.35 57.88 69.45 748K 1.9M 55.45
Buy Not Hit. Sold down to the 18 day EMA. Licklog time.

PCLN 10/30 Test 50 115.78 +3.87 91.08 99.95 1.2M 1.2M 116.45
Current. It did indeed hold where it had to, bouncing off the 18 day EMA for a nice gain after gapping lower

QMAR 12/11 Rev HS 25.64 +0.28 26.88 32.48 489K 1.5M 25.38
Buy Not Hit. Not bad. Gaps lower but recovers to flat, still in its pattern.

RESP 11/26 Asc Bse 52.27 +0.10 50.98 58.31 467K 500K 50.68
Current. Gapped lower but ignored the market for the most part, continuing its positive ways.

RIMM 11/27 Test 50 104.30 +4.09 119.22 136.95 25M 32M 119.65
Current. There is some life at the 90 day SMA as RIMM bounced up for a solid price gain. A good start to the second leg in a potential 6 week double bottom.

SDS 12/12 Rolling 52.92 +0.17 53.96 60.75 18M 21M 52.44
Entered today. Moved in as it moved above the 200 day SMA on some decent trade, but it faded as the market rallied back late. Still think SP500 is in trouble, however.

SGR 12/06 PreAnn 61.92 -1.67 68.28 78.55 1.4M 1.8M 66.04
Current. Gapped lower and held steady on lower volume so we waited to see what it does from here.

SLB 12/12 Rev HS 96.62 -1.03 99.75 114.95 6.6M 14M 96.31
Buy Not Hit. Doji with tail at the 50 day EMA. Still setting up the pattern for the move and doing a nice job of it.

SNDA 12/08 Rev HS 36.47 -2.23 39.11 49.95 1.1M 2.2M 36.89
Buy Not Issued. Hmm. Dumped to the 50 day EMA but on low trade. Will let it make the test and see if it can rebound and show the breakout.

SSRX 12/08 Rev HS 14.68 -0.27 16.85 20.45 211K 850K 15.67
Buy Not Issued.

TKC 11/06 Cup hdl 28.76 -0.17 25.04 29.54 1.2M 1.5M 28.48
Current. Excellent test at the 10 day EMA continues.

VIP 12/03 Test BO 37.91 -0.63 36.78 42.85 2.6M 5M 38.69
Current. Tested sharply lower but held above the 18 day EMA and bounced back smartly close to flat. Low trade. Excellent shakeout/test action setting up the next run.

VIP 11/08 Test 18 37.91 -0.63 32.52 40.45 2.6M 3.2M 38.69
Current.

VIVO 11/28 Test 50 31.35 +0.21 31.11 37.45 219K 450K 29.87
Buy Not Issued.

WFR 12/05 DB hdl 84.10 -0.81 78.72 93.95 4.8M 5.5M 83.22
Trailing Stop. Will probably regret it but locked in the rest of the gain as it started to sell early.

WFT 12/05 Trnd Rv 66.65 -0.02 66.95 77.95 4M 6.1M 64.97
Buy Not Issued. Nice lateral move continues, setting up the break higher. Just waiting for the break.

XTO 12/12 PreSplt 65.80 -0.50 66.49 75.95 2.8M 5M 63.78
Buy Not Issued. Made a token feint toward the buy point but no volume to really push the move.

Downside Plays
Stock Date Play Close +/- Pivot Tgt Vol TgtV Stop
BA 11/26 Put 88.55 +1.63 91.14 88.54 7.5M 7.2M 89.34
Blew through the target on Wednesday and started to bounce. Time to close it.

FRE 12/12 Put 32.46 +2.29 29.97 27.04 20M 14M 30.68
Buy Not Issued. Setting up better with a bounce to the 10 day EMA. A rollover here is a buy.

IWM 12/11 Put 76.49 -0.42 76.21 73.15 88M 90M 76.95
Current. Rebounded some from the selling, but stalled at the 10 day EMA and slipped back. Still very weak.

SPY 12/11 Put 149.06 -0.31 147.98 143.65 237M 200M 149.48
Current. Bounced up but as with SP500 overall, it is weak.

TIE 12/11 Put 28.54 -0.17 28.48 26.45 1.9M 2.5M 28.92
Buy Not Issued. Probed lower but rebounded as the market made its rebound. Still quite weak.

VLO 12/01 Put 66.05 -0.38 64.25 61.15 4.9M 9M 65.22
Current. Doji at the 18 day EMA on low volume. Still below a massive amount of resistance.

End part 2 of 3


us stock market
trade stock