Today’s AI Top Pick: CDE

7/20/2026 · Model Aligned screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Model AlignedCDEBUY NOW8.3 / 107/20/2026

Coeur Mining (CDE) is the cleanest setup in the pool right now: it matches the model_aligned screen with bullish_prob 1.0 and near_term_bullish 1.0, and it stacks strong forecasts across the actionable timeframes without being chased. The 1h forecast is +12.0%/+19.9%/+23.7% short/mid/long, the 4h is +7.6%/+22.6%/+30.0%, and the 1d is +0.2%/+13.1%/+14.7% — three timeframes all pointing the same direction. The 1wk is the only weak spot (negative long forecast), but that's expected given the -36% weekly drawdown; the near-term regime has flipped. Most importantly, this is NOT a chase. Position-in-21bar-range is 5.6% (1h), 3.4% (4h), and 2.2% (1d) — you are buying at the low of the recent range, not the top. Drawdown from 21-bar highs is -10.4% / -16.6% / -17.7%, giving a favorable asymmetric setup. Contrast this with INTU (pos 90.9% on daily) or DOW (92-97% on 1h/4h) which are literally at the top of their ranges. Fundamentals are best-in-pool (fundamental_score 8): PE 11.86, fwdPE 7.6, PEG 0.23, ROE 12.15, profit margin 31.16%, sales YoY +116.6%, debt/eq 0.07, analyst recom 1.25 (Strong Buy), and target upside +80.2%. The Scotiabank PT raise to $28.5 (July 14) is a fresh positive catalyst against a $14.42 print. The Iran/silver-tension headline is a real caveat, but Coeur's diversified gold+silver book plus the beaten-down entry absorb that risk better than chasing a semi at 90% of range. Why today vs. wait: the stock is sitting at effectively 0-5% of its 21-bar range on 3 timeframes with an RSI of 35.9 (oversold) — that's a classic mean-reversion entry that Kronos is confirming. Waiting risks missing the reversion; you get a natural stop below the recent low.

Entry zone
$14.20–$14.60 (scale in near current $14.42; add on any dip to $14.00)
Stop loss
$13.30 (below 21-bar low, ~7.8% risk)
First target
$16.50 (reversion to mid-range, ~14% gain, aligns with 1h+4h mid forecasts)
Longer target
$18.50–$20.00 (aligns with 4h long forecast +30% and partial retrace toward Scotia $28.5 PT)
Risks
  • Silver/gold correction on easing Iran tensions could push CDE below $13.30 stop — the sector is macro-sensitive
  • 1wk forecast is materially negative (-24.5% short, -54.2% mid, -69.3% long), signaling the longer-term regime is still broken
  • RSI 35.9 is oversold but not extreme — could bleed lower before reversing
  • YTD -19.5% and dd_from_21bar_high -36% on weekly means momentum crowd is offside; any bounce could face supply
  • Short float 5.04% is modest but combined with beta-heavy miner tape can amplify downside on risk-off days
Honorable mentions
BCH-USDCleanest 4-of-4 timeframe alignment in the entire pool: 1h/4h/1d/1wk ALL bullish with monster mid/long forecasts (+131.6%/+138.4% on 1d, +98.9%/+111.3% on 1wk), bullish_prob 1.0, and position 0% on 1h/4h — nowhere near chased. Loses to CDE only because it's crypto (no fundamentals cushion) and weekly drawdown is -54.9%.
CMCSAFull multi-TF bullish alignment (bullish_prob 1.0, near_term 1.0), fresh positive catalyst (Nolan's Odyssey opening $124.5M), reasonable valuation (PE 4.68, fwdPE 6.45), and 1d/1wk forecasts of +19% / +33% long. Only downside is 1d position 82.6% — slightly extended for a pure buy-today.
Full ranking (30)
#SymbolVerdictScoreRead
1CDEBUY NOW8.3Best confluence: 1.0 bullish_prob, oversold RSI 35.9, position 2-5% of range, +23-30% mid/long forecasts, top fundamentals (fund_score 8, PEG 0.23), Scotia PT $28.5.
2BCH-USDBUY NOW7.9Only name with all 4 timeframes bullish; +131%/+138% 1d mid/long forecasts, pos 0% on short TFs — pure momentum reversal setup.
3CMCSABUY NOW7.2Full bullish alignment + Odyssey catalyst + PE 4.68/fwdPE 6.45; 1d pos 82.6% is only knock.
4TSCOBUY PULLBACK6.9Bullish_prob 1.0 with +14.8%/+69% 1d forecasts, but earnings next week is binary landmine — wait for print or size small.
5INTUBUY PULLBACK6.5Excellent forecasts (+108% 1d long) and fund_score 8, but 1d position 90.9% and 4h 85.9% means you're chasing the top of range.
6PMTBUY NOW6.3All-TF bullish (small magnitude), pos mid-range, PEG 0.4, fwdPE 6.62 — quiet accumulation setup.
7NRGBUY PULLBACK6.0bullish_prob 1.0, pos 0% on 1h/4h, but 1wk fc -26%/-48% is a serious headwind; wait for base.
8FUBOBUY PULLBACK5.6Explosive 1d forecast (+250%/+259%) and CEO catalyst, but 'sliding today' headline and fund_score 2.5 warrant a lower entry.
9EROWAIT5.4Great fundamentals (fund_score 8, PEG 0.19) and BofA upgrade, but 1d/1wk forecasts turn negative (-8% to -28%).
10SBACBUY NOW5.2bullish_prob 1.0, all-TF positive forecasts, Wells Fargo upgrade — modest but clean.
11TALBUY NOW5.1bullish_prob 1.0, near_term 1.0, RSI 57.4 with real momentum, recom 1.26 — solid but low-magnitude forecasts.
12DOCSWAIT4.8Massive 1d forecasts (+47%/+112%) and bullish_prob 1.0, but 'shares falling' headlines undercut the timing.
13TRB-USDBUY NOW4.6bullish_prob 1.0, +109%/+253% weekly mid/long forecasts — speculative crypto swing.
14FARTCOIN-USDBUY PULLBACK4.4bullish_prob 1.0 with +30-49% 1d forecasts, but near_term only 0.4 and 4h fc_short -10%.
15WHWAIT4.3bullish_prob 1.0 with MS upgrade catalyst, but near_term 0.2 and forecasts fade on longer TFs.
16HASWAIT4.2Positive short-TF forecasts and Zelda catalyst, but 1wk fc -9%/-25%/-32% and Q2 earnings imminent.
17SOL-USDBUY PULLBACK4.1bullish_prob 0.8, +40%/+79% 1wk mid/long, but Allbridge exploit headline creates near-term overhang.
18APE-USDWAIT3.8bullish_prob 0.8 but near_term 0, and 4h/1d mid forecasts turn negative.
19DLRWAIT3.51h pos 99.75% (top of range), 1d/1wk forecasts all negative — fund_score 2.75.
20VALEAVOID3.3bullish_prob 0.2, all TF > 4h turn negative, Iran/iron ore war risk cited by CFO.
21RIOAVOID3.0bullish_prob 0, 1d/1wk fc -11% to -38%, only 1h barely positive.
22SLBAVOID2.9bullish_prob 0, 1d/1wk fc -12% to -17%, oil services rolling over.
23SKR-USDAVOID2.8Despite headline score of 57.6, 1d forecasts are -90%/-91%/-92% — data landmine.
24DOWAVOID2.51h/4h pos 92-97% (extended top), negative EPS revision (-21.36), fund_score -1.25.
25MON-USDAVOID2.4bullish_prob 0, 1d fc -18%/-37%/-27% — broken.
26MTSIAVOID2.1bullish_prob 0, 1d fc -22%/-36%/-31%, 1wk long -68.7% — sell signal.
27COHRAVOID1.9bullish_prob 0, 1d fc -47%/-54%/-41%, 1wk long -75.8% — crashing.
28FLEXAVOID1.7bullish_prob 0, 1d fc -47%/-50%/-48%, after +97% YTD run — mean-reversion risk severe.
29POWLAVOID1.5bullish_prob 0, 1wk long -76.7% after +195% YoY — extended and rolling over.
30AGXAVOID1.3bullish_prob 0, 1wk long fc -90.1%, insider selling flagged — worst risk/reward in pool.

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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.