Today’s AI Top Pick: CHTR

6/22/2026 · Highly Shorted Undervalued screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Highly Shorted UndervaluedCHTRBUY NOW9.0 / 106/22/2026

Charter Communications offers the cleanest combination of multi-timeframe forecast alignment, deep-value fundamentals, and oversold positioning in this pool. The Kronos forecasts are stacked across every horizon: 4h fc_mid +73.93% / fc_long +79.57%, 1d fc_short +63.14% / fc_mid +86.55% / fc_long +114.76%, and 1wk fc_mid +201.58% / fc_long +151.26%, with bullish_prob 1.0 and near_term_bullish 1.0. Position in the 21-bar range is 0% on the 1h, 4h, and 1d (just 4.29% on the weekly), meaning we are NOT chasing — price is sitting at the bottom of its recent range with a -15.22% daily and -42.82% weekly drawdown, which is exactly the asymmetric setup the screen targets. The fundamentals are arguably the most attractive in the entire pool: trailing P/E 3.41, fwdPe 2.78, PEG 0.20, ROE 30.23%, operating margin 24.21%, and a short float of 24.82% — i.e., a profitable cable/telecom cash machine trading like a distressed asset with a coiled short-squeeze spring. Yes, debt/equity is 5.81 and the stock is down 66.56% over the year, but that punishment is exactly why the forward multiple is single digit and why the Kronos model is forecasting triple-digit reversion on the weekly. The news flow is a tailwind, not a landmine: a June 19 Yahoo piece explicitly flags CHTR as ~47.2% below fair value after its sharp pullback, Spectrum News just launched a new 24/7 local network in Tennessee, and there is no guidance cut, dilution, or short-seller report hanging over the name. Compare that to UPWK (Pomerantz securities investigation), ASAN (negative Q1 reaction), CWH (multiple sell/downgrade notes), or ARRY (regulatory-dependence downgrade) — all of which have a forecast tailwind partially undercut by a real headline. Why today rather than wait: the 1h is no longer cratering (just -1.17% forecast) while the 4h/1d/1wk are screaming reversion; pos_in_range 0% on three timeframes means you are buying at the floor, not the ceiling; and short float >24% on a profitable mega-cap means any positive surprise gets amplified. Waiting for a 'better' price risks missing the very base the model is forecasting off of.

CHTR forecast chart
Entry zone
$125.50–$127.50 (current 126.23, scale-in around the 1d range low)
Stop loss
$117.00 (just below the 1wk -42.82% drawdown low; ~7% risk)
First target
$148–$152 (≈18–20%, aligned with 1d fc_short +63% probability cone)
Longer target
$175–$190 (swing target into 1wk fc_mid/long zone; 38–50% upside)
Risks
  • Debt/equity 5.81 — a rate or credit-spread shock hits CHTR disproportionately
  • Recom 2.85 (no Street tailwind) and trailing perfYear -66.56% means knife-catching risk if the downtrend resumes
  • Salesgrowth -0.92% YoY — secular cord-cutting could keep the multiple compressed even if the chart bounces
  • Short float 24.82% cuts both ways: a leg lower can force long capitulation before the squeeze materializes
  • 1h forecast is only -1.17% to +1.18% — no immediate intraday catalyst, requires patience over days
Honorable mentions
CRKComstock Resources: bullish_prob 0.8, near_term 1.0, 1d fc_short +39.62%/fc_mid +44.29%, fwdPe 12.11, PEG 0.29, ROE 25.44%, profit margin 30.99%, fundamental_score 8, and a fresh positive catalyst — the $600M Pinnacle balance-sheet deal flagged in 6/16–6/21 headlines. Clean setup with the best fundamental_score in the pool.
GLOBGlobant: forecasts are enormous (4h fc_long +142.3%, 1d fc_long +114.5%, 1wk fc_long +285.95%), RSI 28.28, pos_in_range 0% on three TFs, fwdPe 4.63, PEG 0.91, and SeekingAlpha just published a rating upgrade ('Proof Gap Narrows'). Lower fundamental_score than CHTR and more volatility, but explosive asymmetry.
Full ranking (30)
#SymbolVerdictScoreRead
1CHTRBUY NOW9.0Triple-digit weekly forecast, pos_in_range 0% on 3 TFs, fwdPe 2.78, ROE 30%, clean news — best risk/reward today.
2CRKBUY NOW8.2Fund_score 8, near_term 1.0, 1d +39.6% forecast, Pinnacle deal catalyst, deeply oversold weekly.
3GLOBBUY NOW7.9Massive multi-TF forecasts, RSI 28, fwdPe 4.63, SeekingAlpha upgrade — high beta but pos_in_range 0%.
4ENOVBUY NOW7.4near_term 1.0, 1d fc_short +21% / fc_long +45.81%, targetUpsidePct 92.5%, recom 1.27.
5NCNOBUY NOW7.2near_term 0.8, 1d fc_mid +58.35%, fwdPe 9.72, PEG 0.55, no landmine headlines.
6UPWKBUY PULLBACK7.0Best raw forecasts (4h fc_long +107%) and fwdPe 4.59, but Pomerantz securities investigation caps conviction.
7DXCBUY PULLBACK6.81d fc_long +71%, fwdPe 2.79, pos 0% — but operMargin 2%, profit margin 0.14%, recom 3.33.
8WUBUY NOW6.7RSI 25.56 oversold, near_term 1.0, fwdPe 3.72, ROE 47.66%, but recom 3.75 and sales -2.34%.
9CLVTBUY PULLBACK6.6near_term 1.0, 1d fc_short +48.9%, fwdPe 2.55, Mitsubishi Fuso win — but unprofitable, sales -3.25%.
10CXMBUY NOW6.5near_term 0.8, 1d fc_short +27.6%, fund_score 3.75, 46% Street upside flagged.
11YELPBUY NOW6.4fwdPe 8.74, PEG 0.75, ROE 20.45%, 1d fc_short +16.9%, but recom 2.91 limits conviction.
12LRNBUY PULLBACK6.3Fund_score 7, RSI 33.6, 1d fc_mid +25.1%, but 1wk fc_mid -34.86% is a yellow flag.
13OWLBUY PULLBACK6.11wk fc_long +66%, 1d fc_mid +43%, but 1h fc_long -10.6% — wait for short-term to turn.
14POSTBUY NOW6.0near_term 1.0, all 1d forecasts +15–17%, fwdPe 10.19, defensive name in volatile group.
15FDSBUY PULLBACK5.91wk fc_mid +59%, fwdPe 11.45, ROE 28%, but recom 3.09 and pos 69.88% on weekly is elevated.
16DRVNBUY NOW5.8near_term 1.0, 1d fc_long +26.9%, fwdPe 8.54, RBC Outperform — modest forecast magnitude.
17UPSTBUY PULLBACK5.51d fc_long +50%, but pos 74% on 1d means chasing; SeekingAlpha 10x P/E thesis supportive on dip.
18ASANBUY PULLBACK5.3Huge 1wk forecasts (+251–342%) but 1h fc_short -4.17% and 'pressured in Q1' headlines — needs base.
19PATHWAIT5.01wk fc_long +127% but 1wk fc_short -10.74%; mixed near-term, talent exodus to Trupeer noted.
20EZPWAVOID4.0Bullish_prob 0, 1d fc_short -36.62% / fc_long -43.37%, pos at top of 1h range — forecast says distribute.
21ABXWAIT4.0Fund_score 8 and Zacks upgrade, but 1d fc_short -21.3% / fc_long -23.95% — wait for forecast to turn.
22MUXWAIT3.9PEG 0.07 attractive but 1d fc_long -30.2%, bullish_prob 0; gold cycle uncertain.
23GOLDAVOID3.7Bullish_prob 0, 1d fc_long -24.76%, epsNextY -14.66 — forecast and earnings both rolling over.
24CWHAVOID3.61d fc forecasts +33–57% but multiple recent SeekingAlpha downgrades and debt/equity 19.03 — landmine risk.
25SBHAVOID3.3Pos 98.93% on 1d (chasing top), 1d fc_long -9.5%, bullish_prob 0.
26FAAVOID3.2Pos 100% on 1wk, all 1d/1wk forecasts negative (-8% to -10%), trailing P/E 330.
27SAHAVOID3.1Fund_score 0.5, 1d fc_long -17.8%, debtEq 4.51, insider selling 50k shares.
28AAPAVOID3.0Pos 90% on 1d, 1d fc_long -21.4%, targetUpsidePct +0.4% — fully priced.
29CRSRAVOID2.91h fc_long -35.86%, 1d fc_long -16.81%, bullish_prob 0, targetUpsidePct -1.6%.
30ARRYAVOID2.8SeekingAlpha 'Regulatory Dependence' downgrade, 1d/1h forecasts negative, bullish_prob 0.

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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.