Technical analysis & trade ideas on QQQ, SOXX, & various individual semiconductor stocks with the key sell signals triggered today.

YouTube link: https://youtu.be/aZQS5737zkM

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I’ve also been adding some AI-generated summaries with timestamps below some of the recent posts. However, I can only do so after the video transcript has been generated, which can take up to an hour or more, in some cases.

AI-generated summary with timestamps:

Big Picture (0:01–1:38)

  • Context: Late-session update (May 15, 2026).

  • Core thesis: The stock market is likely triggering major sell signals into the close.

  • Positioning: He is going home net short.

  • Key idea: “Rising tide lifts all ships” ? if indexes break, correlated sectors (like semis, shipping) will follow.


Shipping Trade Update (0:14–0:47)

  • Refers to prior short ideas in shipping ETFs/stocks (e.g., BOAT- global shipping ETF).

  • Setup progression:

    • Initial short setup ? minor sell signal ? secondary trendline breakdown (today).

  • Reinforces: these were predefined short trades now triggering.


Market Breakdown Signals (1:07–2:32)

  • QQQ: Very low probability of reclaiming trendline by close ? bearish.

  • SOXX (semis ETF): Almost certainly breaking trendline.

  • XSD (equal-weight semis): Slight chance to recover, but unlikely.

  • Conclusion: Broad tech + semis breakdown underway.


“Crash Watch” + Macro Risks (1:38–3:24)

  • Reintroducing a “crash warning” framework.

  • Notes prior calls:

    • Stock market crash (didn’t fully materialize yet)

    • Silver crash (successful call) – biggest in 50 years

    • BDC/private credit drop (BIZD) – hit targets


Private Credit / BDC Risk (2:38–6:15)

  • Ticker: BIZD

  • Key concerns:

    • Redemption restrictions (investors can’t easily exit)

    • Fear-driven withdrawal pressure building

    • UK regulators investigating private credit

  • Structural risk:

    • Ties to regional banks

    • Opaque pricing (“mark-to-model”)

  • Takeaway: Potential systemic risk building beneath the surface


Event Risk: OpenAI / Musk Trial (6:32–7:29)

  • Potential wildcard:

    • Negative ruling could disrupt AI ecosystem

    • Affects:

      • Nvidia (NVDA)

      • Oracle (ORCL)

      • Cisco (CSCO), and other circular AI trades

  • Message: Markets are fragile to headline shocks


Core Warning (7:29–8:46)

  • If breakdown holds:

    • Market has “tremendous downside potential”

  • If not:

    • Could just be another whipsaw

  • Strategy:

    • Use support levels as targets (shorts) or dip-buy zones (bulls)


Semiconductors = “Bubble du Jour” (9:05–9:31)

  • Compares semis to silver pre-crash:

    • Parabolic rise

    • Extreme bullish sentiment

  • Expectation: Fast unwind possible


Bonds, Yields, and Hedging (10:03–12:24)

  • TLT / ZB (bonds):

    • Near key breakout levels

    • Previously expected upside ? now closer to trigger

  • TYX (30Y yield):

    • Watching breakout above multi-decade highs (~5%+)

  • Implication:

    • Rising yields = equity pressure

  • Hedging:

    • TLT, crude oil mentioned as hedges

  • Positioning shift:

    • Earlier: hedged

    • Now: adding outright equity/risk-on trade shorts instead


Retail Speculation Warning (12:24–14:22)

  • Blames recent rally on:

    • Retail/meme traders

    • High margin usage

    • “Gambling mentality”

  • Characteristics:

    • Momentum chasing

    • Coordinated buying

  • Risk:

    • Fast unwind when sentiment flips


Semiconductor Breakdown Analysis (14:47–23:20)

Nvidia (NVDA) (15:05–15:56)

  • Breakdown from bearish rising wedge

  • Targets:

    • Prior highs

    • Trading range

    • Potential move to 200-day MA

  • Bias: Start of unwind phase

Taiwan Semi (TSM) (16:05–17:32)

  • Trigger level: ~385

  • Potential move:

    • ~23% downside

    • Could happen very quickly (1–2 weeks)

Broadcom (AVGO) (17:32–17:40)

  • Needs to break below 406.86 for confirmation

Micron (MU) (17:40–17:55)

  • Minor trendline broken

  • Watching the major trendline for a break to trigger next sell signal

AMD (18:04–19:19)

  • Still holding trendline (leader stock)

  • Key setup: Potential island top

  • Targets:

    • 361

    • 311

    • 266

  • Implied drop: ~37–38%

ASML (19:19–19:46)

  • Watching for trendline break

  • Possible island top

Intel (INTC) (20:13)

  • Already broken down

Lam Research (LRCX) (20:24–21:46)

  • Island top + trendline break setup

  • Targets:

    • Gap fill (short-term bounce zone)

    • Extended: 200-day MA (~32% drop)

Applied Materials (AMAT) (22:52–23:10)

  • Targets imply ~27% downside

Texas Instruments (TXN) (23:20–23:49)

  • Bearish wedge

  • Negative divergence

  • Possible island top


SOXS Trade Setup (Leveraged Bear ETF) (24:08–26:53)

  • Instrument: SOXS (3x inverse semis ETF)

  • Position sizing:

    • Use ~1/3 capital vs SOXX due to leverage

  • Targets:

    • T1: ~8–9%

    • T2/T3 zones: 22–42%

    • Extreme case: 78% to 200%+ upside

  • Strategy:

    • Don’t take small profits early if full breakdown confirms


Final Positioning & Strategy (27:04–30:00)

  • He:

    • Added to shorts twice

    • Not increasing hedges anymore

  • Key technical confirmation:

    • QQQ hit support ? became resistance ? rejection

  • Strong stance:

    • Would not hold long semis into the weekend

    • Would be selling strength


Macro Thesis / Endgame View (28:09–30:00)

  • Market conditions:

    • Extreme valuations (dot-com / 1929 levels)

    • Record margin debt

    • Inflation + rising yields

  • Belief:

    • Market is “disconnected from reality”

  • Analogy:

    • Market = “Russian roulette with multiple bullets”

  • Expectation:

    • When reversal starts ? fast, violent unwind


Key Trade Ideas Recap

Bearish / Short Bias

  • Semis broadly: SOXX, XSD

  • Individual names:

    • NVDA (breakdown underway)

    • TSM (trigger ~385)

    • AMD (below trendline ? major downside)

    • AVGO, MU (watch triggers)

    • ASML, TXN, LRCX (topping setups)

  • Vehicle: SOXS (leveraged short)

Macro / Risk Trades

  • Watch:

    • BIZD (private credit stress)

    • TLT / yields breakout

  • Hedge ideas:

    • Bonds (TLT)

    • Crude oil


Simple Example of His Strategy

If AMD gaps down Monday below trendline:

  • That confirms an island top

  • Enter short with stop above gap

  • Target: ~30–38% downside

  • Expect fast move, not slow grind