🕰️ Time Machine

SLG — SL Green Realty

Price-Time Intelligence · decision-support only — not recommendations, not predictions · as of 10/09/2026

Last price (Close)
51.63 -1.53%
Next window · Cycle 60 · in window · in 1 days
11/09/2026
Last window
Trend
Neutral
🕰️ Time Machine — see this symbol's past windows

Daily chart · hover for price & date

Reference points

Last major low · 13/07/2026
47.70
Days: 42 trading / 59 calendar · return since: +8.24%
Last major high · 08/01/2026
49.85
Days: 168 trading / 245 calendar · return since: +3.57%

Price-Time Watch Windows

Reference pointCycleCountingTarget dateDistanceStatus
Low 13/07/2026 @ 47.70Cycle 60Calendar📅 11/09/2026+1 (±2)In window
Low 13/07/2026 @ 47.70Cycle 45Trading📅 15/09/2026+3 (±2)Upcoming
High 08/01/2026 @ 49.85Cycle 180Trading📅 28/09/2026+12 (±3)Upcoming
High 08/01/2026 @ 49.85Cycle 270Calendar📅 05/10/2026+25 (±3)Upcoming
Low 13/07/2026 @ 47.70Cycle 60Trading📅 06/10/2026+18 (±2)Upcoming
Low 13/07/2026 @ 47.70Cycle 90Calendar📅 11/10/2026+31 (±3)Upcoming

Chronological: recent past → active → upcoming. The target date is the center of the watch window — it opens a few days before and stays relevant a few days after. 'Near a window' is context only, not a signal.

🔔 Recent Technical Events

Price-action events from the last 30 days. 🎯 marks events that landed near a cycle window — the combinations worth the closest look.

NR7 Compression 10/09/2026🎯 near Cycle 60 window · 11/09/2026
Bearish Engulfing 08/09/2026🎯 near Cycle 60 window · 11/09/2026
Bearish Engulfing 03/09/2026
Bearish Engulfing 26/08/2026
Failed Breakout 26/08/2026
Failed Breakout 19/08/2026

Date Echo — seasonal anniversary

What happened around the same calendar date in prior years. n ≈ number of years — descriptive, not an edge. Each window separately, every number vs baseline.

In window 11/09/2026 · Low Cycle 60/Calendar · 10 years — Small sample
10 days: Avg -1.99% · Win 40% · DD -4.83%20 days: Avg -2.47% · Win 40% · DD -7.02%
Open Date Echo · 10 years
YearActual dateCloseContext5d10d20dMax DD 20dMax Gain 20d
202511/09/202563.33neutral-0.47%-5.73%-9.83%-9.83%+3.69%
202411/09/202467.06near 52w high · volume x1.7+7.43%+4.61%+0.51%-0.46%+7.68%
202311/09/202340.56far above SMA50+0.54%-9.84%-13.91%-16.27%+2.24%
202212/09/202249.17neutral-4.27%-20.13%-22.03%-22.03%+0.00%
202110/09/202169.31neutral+1.68%+8.95%+10.60%+0.00%+11.14%
202011/09/202047.51volume x1.8+10.44%+3.73%+15.66%-2.06%+19.14%
201911/09/201988.50neutral-2.04%-2.28%-3.13%-4.85%+0.00%
201811/09/2018106.93neutral+0.31%-3.02%-5.10%-5.68%+0.85%
201711/09/2017102.56near 52w low+1.64%+5.28%+8.86%-0.50%+9.55%
201612/09/2016120.96near 52w high-3.12%-1.44%-6.37%-8.49%+0.00%
Upcoming 15/09/2026 · Low Cycle 45/Trading · 10 years — Small sample
10 days: Avg -3.19% · Win 30% · DD -6.34%20 days: Avg -4.91% · Win 20% · DD -8.88%
Open Date Echo · 10 years
YearActual dateCloseContext5d10d20dMax DD 20dMax Gain 20d
202515/09/202564.94far above SMA50-5.42%-7.71%-14.21%-14.68%+1.12%
202416/09/202470.69near 52w high · far above SMA50+1.43%-1.17%-0.60%-5.57%+2.15%
202315/09/202341.33far above SMA50 · volume x2.1-10.74%-9.05%-16.20%-17.83%+0.34%
202215/09/202245.80neutral-6.42%-13.88%-15.66%-16.98%+2.77%
202115/09/202170.76neutral+2.21%+5.30%+9.81%-1.06%+11.11%
202015/09/202052.98volume x1.6-8.56%-6.18%-4.04%-12.16%+6.85%
201916/09/201987.04volume x1.6-0.67%+0.76%-0.84%-3.25%+0.81%
201814/09/2018106.41neutral+0.04%-1.85%-9.35%-9.35%+1.35%
201715/09/2017104.52near 52w low · volume x2.8+2.27%+3.72%+5.94%-2.13%+7.50%
201615/09/2016117.45near 52w high+2.77%-1.81%-3.92%-5.75%+2.90%
Upcoming 28/09/2026 · High Cycle 180/Trading · 10 years — Small sample
10 days: Avg -2.25% · Win 30% · DD -5.30%20 days: Avg -4.81% · Win 30% · DD -8.20%
Open Date Echo · 10 years
YearActual dateCloseContext5d10d20dMax DD 20dMax Gain 20d
202529/09/202559.93neutral-1.19%-7.04%-11.65%-13.34%+1.42%
202427/09/202469.50neutral-2.11%-1.93%+10.63%-3.96%+13.75%
202328/09/202336.78neutral-6.33%-5.03%-18.68%-20.31%+1.41%
202228/09/202241.74far below SMA50-4.27%-8.90%-4.25%-10.11%+0.07%
202128/09/202175.62neutral-1.26%+3.97%+0.03%-3.02%+3.97%
202028/09/202051.25neutral+2.66%+5.66%-4.39%-4.93%+10.45%
201927/09/201986.84neutral-1.61%-1.87%+1.30%-4.02%+3.52%
201828/09/2018103.55neutral-3.42%-7.64%-6.50%-7.64%+0.00%
201728/09/2017106.98neutral+4.39%+4.85%-4.11%-4.19%+5.03%
201628/09/2016117.20near 52w high-6.17%-4.56%-10.47%-10.47%+0.00%
Upcoming 05/10/2026 · High Cycle 270/Calendar · 10 years — Small sample
10 days: Avg -2.12% · Win 30% · DD -4.68%20 days: Avg -3.39% · Win 20% · DD -7.77%
Open Date Echo · 10 years
YearActual dateCloseContext5d10d20dMax DD 20dMax Gain 20d
202506/10/202558.96neutral-5.92%-12.30%-14.07%-14.07%+0.19%
202404/10/202467.79neutral+0.18%+16.20%+10.09%-1.89%+16.20%
202305/10/202334.45neutral+1.39%-7.81%-3.43%-15.09%+5.28%
202205/10/202239.66far below SMA50-4.84%-6.10%-2.99%-6.10%+0.85%
202105/10/202174.36neutral+5.30%+1.11%-1.04%-2.56%+5.30%
202005/10/202052.29neutral+2.92%-7.39%-7.37%-14.83%+7.59%
201904/10/201985.44neutral-0.26%-0.04%+4.51%-1.48%+5.22%
201805/10/2018100.00neutral-4.36%-1.43%-2.96%-4.36%+0.61%
201705/10/2017110.81neutral+0.44%-5.47%-8.80%-9.43%+0.61%
201605/10/2016109.97near 52w low+1.72%+2.05%-7.83%-7.83%+2.32%
Upcoming 06/10/2026 · Low Cycle 60/Trading · 10 years — Small sample
10 days: Avg -1.96% · Win 30% · DD -4.66%20 days: Avg -1.96% · Win 40% · DD -7.97%
Open Date Echo · 10 years
YearActual dateCloseContext5d10d20dMax DD 20dMax Gain 20d
202506/10/202558.96neutral-5.92%-12.30%-14.07%-14.07%+0.19%
202407/10/202466.99neutral+4.51%+14.64%+14.16%-0.72%+17.58%
202306/10/202333.70neutral+1.99%-4.45%+3.03%-13.20%+7.63%
202206/10/202239.46near 52w low · far below SMA50-2.84%-4.43%-4.41%-5.63%+1.36%
202106/10/202175.40neutral+2.63%+1.79%+2.04%-3.91%+3.84%
202006/10/202053.00neutral-4.67%-6.91%-3.51%-15.98%+6.15%
201907/10/201985.26neutral+0.19%+1.23%+6.72%-1.27%+6.72%
201805/10/2018100.00neutral-4.36%-1.43%-2.96%-4.36%+0.61%
201706/10/2017111.49neutral-1.45%-7.25%-10.34%-10.34%+0.00%
201606/10/2016111.47near 52w low+0.57%-0.45%-10.25%-10.25%+0.94%
Upcoming 11/10/2026 · Low Cycle 90/Calendar · 10 years — Small sample
10 days: Avg -2.47% · Win 40% · DD -5.17%20 days: Avg +2.88% · Win 60% · DD -7.19%
Open Date Echo · 10 years
YearActual dateCloseContext5d10d20dMax DD 20dMax Gain 20d
202510/10/202555.17neutral-4.68%-6.00%-4.87%-8.48%+3.57%
202411/10/202467.91neutral+15.99%+12.81%+19.26%+0.00%+19.85%
202311/10/202335.36neutral-0.08%-17.11%-8.00%-17.28%+2.57%
202211/10/202237.92near 52w low · far below SMA50+3.48%+4.67%+1.17%-1.79%+5.48%
202111/10/202177.35neutral-1.09%-2.68%+3.47%-6.33%+3.47%
202012/10/202053.82neutral-10.02%-9.51%+19.20%-17.25%+19.20%
201911/10/201985.21neutral+0.22%+3.23%+7.15%+0.00%+7.15%
201811/10/201896.24near 52w low · far below SMA50+2.14%+2.49%+5.10%-0.63%+5.22%
201711/10/2017111.37neutral-3.20%-8.67%-7.49%-10.25%+0.00%
201611/10/2016111.08near 52w low+0.68%-3.94%-6.18%-9.93%+1.03%

Questions to Watch

Is there a failed breakout above the window?Did an abnormal reversal candle appear?Is there an abnormal volume spike?Is the advance stalling (no follow-through)?Is short-term support breaking?Any change in relative strength vs QQQ/SPY/SMH?Is the leading sector weakening?

Interpretation & Scenarios

Careful wording — scenarios to watch, not forecasts. The decision is the trader's.

⬆️ Continuation (up) — to watch
· If it holds above SMA50 (-4.4%) and breaks out on volume above the window — historically similar zones tended to continue. Technical confirmation needed.
⬇️ Weakness (down) — to watch
· Relative weakness vs QQQ, SPY, SMH.
· Sharp drop recently.
· If a breakout fails or it closes below SMA50 / a nearby low on volume — risk of continued weakness. Watch for fading volume and relative weakness.
↔️ Range / no clear edge
· No active Price-Time Confluence right now.
· Distance from 52w high: -22.1% · from 52w low: +48.5%.
· Without confirmation either way — no clear edge; waiting for confirmation is reasonable.

Current Snapshot

Returns & distances

5 / 10 / 20 / 60 days-6.42% · -12.01% · -8.52% · +1.54%
Distance from SMA20 / 50 / 200-8.25% · -4.41% · +11.94%
Distance from 52w high / low-22.11% · +48.49%
ATR14 · volume vs 20-avg1.67 · 1.01x

Relative strength

vs QQQ (20d)-6.45%
vs SPY (20d)-6.63%
vs SMH (20d)-4.32%

Moving averages

SMA20 / 50 / 20056.27 · 54.01 · 46.12
52w high / low66.29 · 34.77