Today’s AI Top Pick: BFAM

6/9/2026 · Forecast Pure screen · a free sample of K3vl4r’s AI-curated picks.

AI-ranked from a screened shortlist, with entry strategy, targets, and risks.

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Today's pick · Forecast PureBFAMBUY NOW8.6 / 106/9/2026

BFAM is the cleanest forecast_pure setup in this pool: all four timeframes point the same direction with no single-bar 200%+ outlier polluting the signal. The 1h projects +18.89% mid / +28.11% long, the 4h projects +9.75% short / +53.56% mid / +47.94% long, the 1d projects +35.68% short / +50.53% mid / +64.25% long, and the 1wk projects +43.09% short / +105.6% mid / +66.04% long. That is rare multi-timeframe agreement — the only horizon-to-horizon disagreement is whether the move is +30% or +60%, not direction. Bullish_prob = 1.0 and near_term_bullish = 1.0.

BFAM forecast chart
Entry zone
$58.50 - $61.00 (current $59.16-60.83); scale 60% on touch of $60, add 40% on dip to $58.75
Stop loss
$53.50 (below the 4h/1d 21-bar low zone implied by -12.7% drawdown from ~$67 high; ~10% risk from entry)
First target
$75.00 (+25%, aligned with 1d fc_short +35.68% conservatively trimmed)
Longer target
$95-100 (+60-65%, aligned with 1d fc_long +64.25% and 1wk fc_mid +105.6% midpoint)
Risks
  • Edtech/childcare sector specific headlines (BFAM = Bright Horizons) — single negative earnings or labor cost shock could invalidate the -36.66% weekly washout as 'support'
  • 1wk pos_in_range = 0% means BFAM is making fresh lows; falling-knife risk if no buyer steps in, stop at $53.50 essential
  • 1h fc_short is ~0 (-0.01%) — no immediate momentum, meaning the trade requires patience over the first 1-3 sessions before the daily/weekly thesis kicks in
  • Forecast_pure lens has no fundamental gate — earnings, guidance, or analyst rating may not support a +50% rally and could cap upside near first target
  • Broad market backdrop is hostile: SPY shows bullish_prob = 0 with 1wk fc_long of -27.68%; a market-wide drawdown would drag BFAM regardless of single-name signal
Honorable mentions
ETH-USDCleanest crypto signal — all four TFs positive (+15/+39/+69/+74% on mid horizons), no extreme outliers like ADA's +688%, pos 23/64/17/0 (not chasing), weekly DD -40.34% gives washed-out entry. The +60-73% 1wk forecast is meaningfully large without being absurd.
LULUStrong multi-TF agreement (1h +32%, 4h +89%, 1d +77%, 1wk +207% long) with pos 56/35/19/4 — not at top of range, -38.48% weekly drawdown. Only knock is the +206% 1wk fc_long looks like an outlier; otherwise this would arguably be #1.
Full ranking (30)
#SymbolVerdictScoreRead
1BFAMBUY NOW8.6Multi-TF agreement (1h/4h/1d/1wk all bullish), pos at bottom of weekly range (0%), 1d forecast +35%/+50%/+64% with no extreme outliers.
2ETH-USDBUY NOW8.2All 4 TFs bullish (+15-73% mid), pos 23/64/17/0, -40% weekly DD, cleanest crypto setup without ADA-style 688% outlier.
3LULUBUY NOW8.01d +41/+75/+77%, pos 56/35/19/4, -38% weekly DD; 1wk +206% is the only outlier flag.
4BLBUY NOW7.61d +47/+61/+56%, 1wk +35/+121/+173% with pos 54/49/65/3.68 and -46.87% weekly drawdown.
5VEEVBUY NOW7.5Most consistent name — 1d +22/+45/+23%, near_term_bullish = 1.0, pos 40/38/35/22 mid-range, modest but reliable magnitudes.
6CHKPBUY NOW7.41d +19/+43/+32%, near_term_bullish 1.0, pos 8/4/55/22 low, no outlier forecasts.
7XRP-USDBUY NOW7.2Consistent +9-63% across all positive horizons, pos 34/65/22/0, no extreme weekly outlier (only +40%).
8COINBUY PULLBACK7.01d +16/+34/+52% with pos 14/15 on daily/weekly but 1h pos 84.6% — wait for short-term dip.
9PYPLBUY NOW6.91d +38/+47/+47%, pos 0% on daily, -26.67% weekly DD; weekly +175/+186% is the outlier concern.
10SOL-USDBUY NOW6.81d +16/+87/+104%, pos 28/55/15/0, -44% weekly DD; 1wk fc_long only +4.45% is the weak link.
11ADA-USDBUY PULLBACK6.5All TFs positive but 1wk fc_long +688% is wildly extreme — model overconfidence; size small if entered.
12TTDBUY PULLBACK6.4Pos 12/12/0/0 deeply washed (-46.84% weekly), but 1wk +234% is extrapolation extreme.
13SMRBUY PULLBACK6.31d +21/+84/+85% with pos 18%, but 4h fc_short -23.7% and no 1wk data weakens consistency.
14TRUPBUY PULLBACK6.2Strong daily/weekly forecasts but 1h/4h pos = 100% means short-term chasing; wait for pullback.
15COURBUY NOW6.11d +1.7/+39.5/+32.5%, pos 25/0/38/0.8, low absolute price ($5.36) — small-cap volatility, decent setup.
16RBLXBUY PULLBACK6.01d +50/+90/+42% strong but 1h pos = 100% chasing; wait for $42 retest.
17PPCBUY PULLBACK5.91d +30/+32/+36% solid but 4h pos = 100% (chasing) and 1wk fc_mid only +0.78%.
18NUSBUY PULLBACK5.81h pos 100% + 1wk +351% outlier; thesis intact but entry quality poor right now.
19CPRTBUY PULLBACK5.71d +12/+32/+35% modest, 1h pos 100% — wait for sub-$30.
20USNAWAIT5.31h fc_mid -4.75% and fc_long -8.82% disagrees with bullish higher TFs; mixed signal.
21PENDLE-USDWAIT5.0Only 3 TFs available, 1d fc_short -1.32% negative, near_term_bullish = 0.
22BNB-USDWAIT4.51wk fc_short/mid/long all negative (-3/-8/-34%); weekly disagrees with daily +35%.
23DUOLAVOID3.5Pos 100/100/100 (chasing the top) + 1h fc_mid -20.69%, fc_long -17.5% — classic blowoff risk.
24RGTIAVOID2.5bullish_prob = 0, 1d fc_long -36.95%, 1wk fc_mid -73.97%.
25IONQAVOID2.3bullish_prob = 0, 1d/1wk forecasts -26 to -75%, pos 79% on weekly = chasing into bearish forecast.
26TSMAVOID2.2bullish_prob = 0, 1wk pos = 100% with fc_long -54.71% — perfect short setup, not a buy.
27UECAVOID2.0bullish_prob = 0, 1d fc_long -21.61%, 1wk fc_long -50%.
28ATROAVOID1.8bullish_prob = 0, pos 88.47% on weekly + 1wk fc_mid -67.06%.
29SPYAVOID1.7Broad market bearish: 1wk fc_short -16.83%, fc_mid -27.1%, fc_long -27.68% — macro headwind for everything.
30SLVAVOID1.4bullish_prob = 0, all TF forecasts negative on long horizon (-23 to -56%).

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⚠️ This AI-generated analysis is for informational purposes only and is not financial advice. Forecasts and scores are model outputs that can be wrong; markets involve substantial risk of loss. Do your own research.