|
|
us stock market, stock market today
Begin part 2 of 3
CONTINUING PLAY 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://www.technicaltraders.com/ttr/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
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
ABT 01/16 PreAnn 59.75 -0.75 60.78 68.95 8.2M 9.4M 58.57
Buy Not Issued. Gapped higher but then gave back some ground on lower trade. Easily held above the 10 day EMA in all the selling and remains in good position to move higher.
AGU 01/12 Test BO 57.34 -6.37 70.89 83.95 8.8M 3.3M 67.88
Exited.
APOL 01/14 PreAnn 77.89 -0.68 80.88 92.95 4.8M 4M 78.55
Buy Not Issued. Tried to break higher again but faded again. Still in very good shape, but needs to show us the break higher. Until then it is just a pretty picture.
BEC 01/14 PreAnn 73.26 -0.37 74.62 85.95 441K 656K 72.32
Buy Not Hit. Basically flat and holding the 10 day EMA on the close as BEC continues to show excellent relative strength in its solid pattern. It is one that can move for us when the market hits the bottom on this leg.
CHTT 01/08 PreAnn 73.08 -1.02 77.38 88.75 421K 408K 72.98
Current. Continued lower, but held the 50 day EMA on the low and remains in good shape to continue higher. Consumer staples stock so this test of the 50 day EMA should lead to a new bounce.
CPHD 01/07 Cup hdl 30.52 -0.35 28.64 34.35 1.6M 1M 29.97
Current. Excellent test of the breakout move continues, easing back on lower volume during all of this ugly selling. Love to see that kind of strength.
FDP 01/16 Asc Bse 35.75 +1.81 35.45 42.65 1.1M 1.2M 33.11
Entered today. Nothing like some fresh produce when the market is in the toilet. Excellent move higher on rising, above average volume.
GENZ 01/15 PreAnn 81.13 +1.40 79.82 91.45 5.9M 3M 77.32
Current. Excellent action, gapping lower but holding the 10 day EMA and rallying to a new high on a shot of strong, rising volume.
GILD 01/07 Asc Bse 47.23 -0.39 48.38 55.95 11M 10M 47.21
Current. Struggling just a bit but holding at the 18 day EMA after gapping higher. Still an excellent pattern with good support below.
GMCR 12/18 Cup hdl 40.00 +0.69 41.50 49.95 363K 300K 39.69
Current. Hanging on for now just over the 18 day EMA. Thought the coffee would perk up as the market sold. Of course, it is not tanking, instead just holding its handle and no complaints about that.
HK 01/07 DB hdl 16.55 -0.89 18.48 22.32 2.7M 2.5M 17.32
Buy Not Issued. Dry hole. Dropping.
HOLX 12/29 Test BO 65.38 -1.24 70.36 80.95 4.5M 3.2M 69.02
Current. Struggling more, fading to tap the 90 day SMA on the low and recouping some of the losses. Holding support and in the right sector so we let it run another day.
HOLX 12/15 Asc Bse 65.38 -1.24 67.88 77.65 4.5M 3.6M 69.39
HUM 12/12 Cup hdl 84.27 -2.07 77.91 89.95 1.8M 2.4M 84.38
Current. Finally a rest, falling back to the 10 day EMA after its strong run, but on lower volume. No complaints, but want to see it hold in this range and then continue its breakout move.
IDXX 01/12 Dbl btm 58.54 -1.63 61.21 70.45 261K 469K 59.22
Buy Not Issued. Hmm. Fell back in the market selling but volume contracted to below average. Needs to hold here at 58 and continue work on the base.
IMA 01/07 Dbl btm 55.60 -3.75 59.21 69.95 1.8M 1.2M 59.92
Current. The nice pullback broke with some harder selling. Held at some support and with the market close to a rebound decided to let it hold over and look for a bounce.
IRIS 01/14 Test BO 20.23 -0.76 22.24 26.95 154K 220K 20.97
Buy Not Hit. Sold down to support at 20 on average volume. Decent support and we will see if it can hold and yield a breakout.
IVGN 01/14 Cup hdl 96.29 +1.85 97.32 111.95 964K 1.2M 94.39
Buy Not Hit. Broke higher and looks solid, particularly given the direction of the market. Just needs some volume as it continues.
MLNM 01/16 Asc Bse 16.06 -0.19 16.86 20.45 9.5M 7M 15.68
Entered today. Was up early and we took a partial position. It came back and gave up the move, but remains in good position. When it starts bouncing higher again we will add some positions.
MO 01/05 Test 50 76.80 -1.11 76.65 85.95 24M 12M 77.15
Current. Gapped higher then rolled over on high volume. Even the recession standbys were under pressure. Filled the gap from earlier in the month at least.
NUVA 01/15 Test 50 41.37 -0.73 41.12 49.32 571K 395K 39.65
Current. Surged intraday but could not hold the move, fading back to test and hold the 50 day SMA. Still in excellent shape to move higher.
SDS 01/10 Test BO 64.85 +3.36 58.88 63.45 39M 25M 63.31
Current. Screaming higher as SP500 screams lower. If we get a sharp selloff to open Friday we will lock in some more gain.
STE 01/08 DB hdl 29.37 -0.88 30.45 35.00 814K 700K 29.48
Current. Gapped then reversed to give up all of the Wednesday gain. Needs to hold in this range to stay in it.
TRA 01/09 Test 18 40.27 -5.35 48.48 57.95 7.4M 4.5M 49.88
Exited. Fertilizer? That is what this play smelled like.
UPL 01/10 Test BO 65.81 -2.26 73.63 83.95 1.6M 1.5M 71.77
Current. Managed to hold some support after another drop. With the market oversold and close to a bounce we decided to let it hold over.
VIVO 01/16 Test BO 33.83 -0.46 34.68 40.95 384K 425K 32.68
Buy Not Issued. Tried to run again but closed modestly lower. Still in excellent shape to continue the breakout move.
Downside Plays
Stock Date Play Close +/- Pivot Tgt Vol TgtV Stop
CVS 01/10 Put 36.97 -0.07 36.92 34.75 13M 14M 36.57
Current. Tried to rally but stalled at the 18 and 20 day MA and faded to close below the 10 day EMA, showing a big tombstone doji. Now it needs to fall, but not sure if the market is going to give it enough time before it bottoms.
GRA 01/15 Put 16.50 -2.29 19.80 18.03 2.8M 1M 16.78
Target Hit. Dove lower and we took part of the gain. On another dive Friday we will lock the rest down.
MA 01/16 Put 176.88 +1.35 173.94 159.00 4.3M 5M 176.44
Buy Not Hit. Moved up and bumped the 90 day SMA again. Not selling with the market so it may not work out seeing how it is showing all of that relative strength.
MS 01/14 Put 45.25 -2.14 47.51 44.45 19M 17M 45.45
Current. Diving down from the 10 day EMA test on stronger, above average volume.
NILE 01/12 Put 49.01 +0.07 55.22 48.11 891K 926K 47.88
Current. Trying to hold the line after that swan dive lower. If the market sells Friday and it does as well we will lock in the rest of the gain. If it doesn't sell we will likely lock in the gain as well and not chance a bounce.
PCLN 01/12 Dbl Top 89.36 -6.07 98.45 90.15 3.8M 1.6M 89.78
Target Hit. Tumbling on strong volume. It has filled the gap so need to be careful of a bounce. If we get another downside move Friday we will look to lock in the rest of the gain.
SBUX 01/08 Put 19.05 -0.25 19.45 18.00 12M 21M 19.32
Current. Not giving up the drop even in the market selling, hugging the 10 day EMA from the bottom side. If it does not break lower soon we will close it to avoid a bounce when the market bounces.
SPY 01/10 Put 133.43 -3.55 140.88 136.85 396M 300M 133.78
Current. Massive breakdown on volume. As with SDS, on another good break lower we will take the rest of the gain.
End part 2 of 3
|
us stock market
stock market today
|