Read-only view — contact the owner for edit access

Strait of Hormuz News Triggers Intra Day Market Reversal

← Back to video

Summary History (2 versions)

Version 2 2026-10-01 16:54 UTC · mistral-nemo:12b
Show prompt
Summarize the following YouTube trading video transcript. Extract:
- Stock tickers mentioned and any price levels (support, resistance, targets, stop-losses) associated with each
- Key trading strategy
- Indicators used
- Entry/exit rules and suggested trades
- Timeframes mentioned
- Risk management tips
Format the summary in clear bullet points.

Transcript:
{transcript}
**Summary:** - **Stock Tickers & Price Levels:** - S&P 500 (SPY): Resistance at 768.55, Support at 760.50 - NASDAQ (IXIC): Support at 26,700 points - SMH (Semiconductor Holders): Resistance at 607.58, Support within parallel channel - 10-year Yield (TNX): Resistance at 5.289% - Gold (GLD): Support at $4,227 - Silver (SLV): Resistance at $64.75, Support at $61.3 - Bitcoin (BTC): Resistance at $89,000 - **Key Trading Strategy:** - Trend line analysis for S&P 500, NASDAQ, and SMH - Breakout, retrace, bounce play for NASDAQ and SMH - Monitoring 10-year yield for potential market impact - **Indicators Used:** - Daily and weekly RSI for 10-year yield - Fibonacci retracement levels for SMH - **Entry/Exit Rules & Suggested Trades:** - S&P 500: Short at resistance (768.55), stop-loss not specified - NASDAQ: Long at support (26,700 points), target not specified - SMH: Long at support within parallel channel, target not specified - 10-year Yield: Short at resistance (5.289%), stop-loss not specified - Gold: Short at support ($4,227), stop-loss not specified - Silver: Short at resistance ($64.75), stop-loss not specified - Bitcoin: Long at support ($89,000), target not specified - **Timeframes Mentioned:** - Daily timeframe for S&P 500, NASDAQ, SMH, and 10-year yield - Weekly timeframe for 10-year yield - Hourly timeframe for 10-year yield - 10-minute timeframe for S&P 500 - **Risk Management Tips:** - Not explicitly stated, but implied by mentioning stop-loss levels for some trades - Monitor news events and their potential impact on markets
Version 1 2026-10-01 16:51 UTC · mistral-nemo:12b
Show prompt
Summarize the following YouTube trading video transcript. Extract:
- Stock tickers mentioned and any price levels (support, resistance, targets, stop-losses) associated with each
- Key trading strategy
- Indicators used
- Entry/exit rules and suggested trades
- Timeframes mentioned
- Risk management tips
Format the summary in clear bullet points.

Transcript:
{transcript}
**Summary:** - **Stock Tickers & Price Levels:** - S&P 500 (SPY): Resistance at 768.55, support at 763.50 - NASDAQ (IXIC): Support at 26,700 points - SMH: Resistance at 607.58, support at the top of the parallel channel (~615) - 10-year Yield (TNX): Resistance at 5.289% - Gold (GC=): Support at $4,227 - Silver (SI=): Resistance at $64.75, support at $61.3 - Bitcoin (BTC-USD): Resistance at $89,000 - **Key Trading Strategy:** - Breakout, retrace, bounce play on IXIC and SMH - Trend line resistance on S&P 500 - Watching 10-year yield for potential resistance at 5.289% - **Indicators Used:** - Daily and weekly RSI for 10-year yield - Fibonacci retracement levels for SMH - **Entry/Exit Rules & Suggested Trades:** - Entry: IXIC at support around 26,700 points for a bounce play - Exit: Not explicitly stated, but implied as near-term resistance levels for each ticker - Suggested Trades: Not explicitly stated, but implied as potential long positions on IXIC and SMH - **Timeframes Mentioned:** - Daily, 10-minute, hourly, weekly - **Risk Management Tips:** - Not explicitly stated in the transcript - Implied risk management: Stop-loss levels not mentioned, but typically placed below recent lows for long positions and above recent highs for short positions