The setup was the following : - wiggle day 1rst day has to be a 26 days low - on wiggle first day stock has to be more than $5 and trade more than $3 million (close*volume) - Also on wiggle second day stock has to close above 80% of its day range.
I haven't check each wiggle so bad data may be an issue.
3rd column is the next 5 days max to wiggle close (percentage basis) 4rth column is wiggle close to next 5 days low (%)
So you want the third column to be as high as possible and the 4rth column to be as low as possible
HC 10/07/97 11,93 0 EMR 15/03/00 8,37 0,14 NWL 30/10/97 5,27 0,17 CHL 07/04/93 7,76 0,31 CYCH 28/02/00 17,48 0,7 SLB 30/10/97 7,26 0,36 PGR 17/12/96 3,82 0,19 MTW 17/02/00 4,25 0,24 TEVA 18/04/94 8,38 0,53 WPO 15/03/00 4,37 0,31 TXU 25/10/96 3,48 0,32 GLK 14/01/98 3,05 0,29 STRM 12/10/95 14,5 1,52 PZL 03/06/94 2,28 0,25 HPC 03/09/98 4,05 0,45 COMS 23/03/98 6,05 0,72 CAM 03/09/98 26,73 3,32 JPM 15/03/00 9,84 1,29 FNM 17/12/96 4,93 0,66 RACE 01/05/97 27,71 3,75 ASTX 23/08/99 4,76 0,68 CMOS 28/11/95 12,84 1,87 ASD 15/12/98 2,14 0,39 NES 19/05/93 1,55 0,31 KEY 08/05/96 3,28 0,66 FBR 14/08/96 2,17 0,55 SHX 25/02/00 9,57 3,3 LZ 10/03/00 11,17 4,23 PMCS 30/10/97 15,42 5,94 AEP 25/07/95 1,81 0,73 CPL 17/05/94 2,6 1,05 HNZ 27/04/93 3,1 1,4 FLR 18/01/96 4,28 1,98 ADSK 19/10/98 6,4 3,05 SGP 07/08/98 1,95 1,02 CLFY 22/11/96 9,57 5,92 NSC 28/07/92 2,12 1,51 HNZ 16/06/98 4,39 -1,14 CGX 30/10/97 4,33 -0,98 MCD 16/01/96 10,64 -1,38 MOT 22/06/98 6,76 -0,73 DIA 15/03/00 7,38 -0,76 NAV 13/03/00 14,23 -0,72 NBL 03/09/98 27,75 -0,74 PGR 12/10/95 1,47 1,49 UAL 13/03/95 2,84 2,92 ALGX 04/06/99 5,2 5,48 LLTC 23/09/98 6,11 6,64 NSP 07/08/98 2,37 2,68 ABT 03/09/98 3,58 4,05 XL 24/12/98 4,25 5 HPC 21/05/98 1,94 2,41 ROK 07/04/99 2,22 3,14 TCB 21/12/99 1,51 2,32 IHF 15/03/00 6,87 11,02 ODP 21/12/95 1,24 2,55 CTB 19/12/96 0,63 1,27 NAV 03/09/98 5,65 12,05 PPG 03/09/98 3,19 7,08 JNJ 28/11/94 0,7 1,67 TMX 04/03/94 2,04 5,88 KMT 14/01/98 2,76 8,42 CTB 03/06/97 0,56 2,27 EBAY 28/05/99 3,42 16,96 LQID 13/12/99 1,77 8,85 YHOO 28/05/99 2,62 13,74 CKP 22/07/97 1,17 6,22 TYC 26/03/99 0,84 4,93 WIN 03/09/98 1,13 6,9 CMGI 28/05/99 3,5 22,81 SNPS 25/01/93 1,41 10,08 RKY 20/10/99 0,7 4,9 TOS 06/10/98 0,88 7,21 SHW 01/06/98 0,37 3,27 TXT 13/08/99 0,3 2,95 CNET 28/05/99 2,31 24,78 CG 25/08/98 1,06 11,97 WAXS 21/10/97 2,17 35,29 PT 23/09/98 0,77 12,72 TNFI 21/10/97 1,27 24,68 JNJ 01/03/00 0,43 10,96 CSC 10/03/97 0 6,86 CUM 03/09/98 0 10,19 ED 19/05/93 0 3,03 MEA 04/08/99 0 7,58 DSCP 01/04/92 -0,47 15,22 AVP 02/08/99 -0,27 7,34 MKG 31/07/98 -0,45 8,05 BUD 08/04/97 -0,29 3,92 ZRAN 07/04/00 -4,77 49,68 POM 22/04/97 -0,55 4,6 ERICY 05/12/97 -1,98 16,31 EK 27/10/94 -0,51 3,99 CHA 12/01/96 -1,18 8,33 CIT 15/07/99 -1,08 6,7 ATHM 28/05/99 -7,25 45,69 UAL 01/07/92 -1,05 5,79 INF 07/01/00 -1,35 7,25 BGEN 07/10/94 -5,02 25,14 TOY 21/05/98 -0,92 4,33 MBG 12/02/93 -4,55 21,86 BGEN 11/03/94 -2,92 13,25 SPLH 24/04/97 -3,66 16,46 GAP 24/11/99 -1,89 8,16 TEN 29/05/98 -0,9 3,74 PFE 05/05/99 -1,16 4,7 CHRZ 30/07/98 -3,38 13,02 ICAB 17/02/00 -8,33 28,86 BOL 18/01/93 -0,95 3,18 CKR 21/01/99 -4,51 15,03 BRS 28/05/99 -1,22 3,8 ARW 10/04/95 -0,3 0,91 MGG 10/01/00 -3,23 7,96 |