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Trading The Close | September 28, 2026

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Version 1 2026-10-01 17:04 UTC · mistral-nemo:12b
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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): Support at $760.36, Resistance at $767.99, Target around $767. - NASDAQ (IXIC): Support at 26,691, Resistance around 28,000. - SMH (Semiconductor Holders): Resistance at 60758, Target at 63554. - 10-year Yield: Resistance at 5.289% (next level after breaking 5.25%), Potential support around 5.021% to 5.289%. - Gold (GLD): Support at $4,104, Resistance around $4,180 (previous trend line). - **Key Trading Strategy:** - Focus on near-term support and resistance levels for S&P 500, NASDAQ, and SMH. - Watch for consolidation and pullbacks in 10-year yield to allow markets to push up. - Monitor gold for potential support and resistance levels. - **Indicators Used:** - Trend lines (support and resistance) - Pivot points - Fibonacci retracement levels - Moving averages (50-day and 20-day for SMH) - RSI (Relative Strength Index) for 10-year yield - **Entry/Exit Rules & Suggested Trades:** - **S&P 500:** Buy if price breaks above $767.99, Stop-loss around $760.36. - **NASDAQ:** Buy if price maintains above 26,691, Target around 28,000. - **SMH:** Buy if price breaks above 60758, Target at 63554. - **10-year Yield:** No specific trades mentioned, but watch for consolidation/pullbacks for market opportunities. - **Gold:** No specific trades mentioned, but monitor for potential support/resistance levels. - **Timeframes Mentioned:** - Daily charts for S&P 500, NASDAQ, SMH, and Gold. - Monthly, weekly, and daily charts for 10-year yield. - **Risk Management Tips:** - Place stop-loss orders around support levels. - Monitor market conditions and be prepared to adjust positions accordingly. - Be cautious of overbought/oversold conditions (e.g., 10-year yield).