Today’s AI Top Pick: CLBT
9/16/2026 · Model Aligned 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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CLBT offers the cleanest combination of aligned bullish signal, strong forecast magnitude, and a real catalyst. The Kronos forecast is positive across 1h (+9.5% mid), 4h (+27.9% mid, +32.1% long), and 1d (+17% short, +34.8% mid, +36.5% long) with bullish_prob = 1.0 and near_term_bullish = 0.8. Only the 1wk turns modestly negative (-7% mid, -13% long), which is acceptable given how deep the weekly drawdown already is (-29.7% from high). This is exactly the screen the pool was built for: aligned 1h/4h bullish with strong daily confluence. Entry is not chasing — position_in_21bar_range is 10.6% (1h), 14.0% (4h), 19.4% (1d), and 4.0% (1wk). Price sits well off the highs after a -37.6% YTD washout, RSI 39.7, so we are buying weakness that the model expects to reverse rather than paying up at the top of a range. Fundamentals are respectable for a growth security-software name: debt/equity 0.04, gross margin 83%, sales +17.8% YoY, EPS next year +35.9%, analyst recom 1.0 (strong buy), 36.5% target upside. Elevated PEG (2.49) is the only real valuation flag. The news slate is a net positive, not a landmine: Cellebrite is redomiciling to the U.S. (index-eligibility tailwind), announced a coherent leadership transition, and elevated its CTO to head Cellebrite Labs — all execution-oriented, no dilution, no legal/short-seller overhang. Combined with the deep drawdown, that's the setup where an oversold, positively-catalyzed name tends to bounce. Why today: 1h forecast is flat-to-up from here (+0.08% short, +9.5% mid) and 4h is already tilting up (+1.8% short, +27.9% mid). Waiting risks buying after the +17% daily short-horizon move the model is projecting. SPGI has better full-timeframe alignment but far smaller magnitudes; USNA has bigger magnitudes but weaker fundamentals and micro-cap risk. CLBT threads the needle.

- Weekly forecast is negative (fc_mid -7.1%, fc_long -13.2%) — if the daily bounce fails, the higher-timeframe trend re-asserts
- PEG of 2.49 and fwdPE 30 leave little valuation cushion if guidance disappoints
- Perf YTD -37.6% and perf 1Y -35.5% show the tape has been a knife-catcher; short float 6.68% adds volatility
- Small/mid cap ($2.83B) with 44% institutional ownership — thinner liquidity, wider gaps possible around Israel-related headlines
- Leadership transition, while framed positively, always carries execution risk in the next 1–2 quarters
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | CLBT | BUY NOW | 8.2 | Aligned 1h/4h/1d bullish with +34.8% 1d mid forecast, bullish_prob 1.0, low range position, and positive US-redomicile catalyst. |
| 2 | SPGI | BUY NOW | 7.6 | Rare all-timeframe positive forecast, at bottom of 1h range, blue-chip fundamentals — highest-quality low-risk buy. |
| 3 | NXE | BUY PULLBACK | 7.3 | Strong 4h forecast +17.9% and Jefferies Buy, but already at 84% of 1h range — wait for a dip to $9.20. |
| 4 | USNA | BUY PULLBACK | 6.8 | Only name with positive 1wk forecast (+43.8% mid) and all TFs bullish, but micro-cap with negative margins and rising IV. |
| 5 | UEC | BUY PULLBACK | 6.5 | bullish_prob 1.0 with 4h +21% and 1d +24.6% mid, but 1h at 75% of range and awful fundamentals (op margin -629%). |
| 6 | RENDER-USD | BUY NOW | 6.3 | Crypto with bullish_prob 1.0 and 1d fc_long +28%; smaller position sizing given no fundamentals. |
| 7 | AVGO | BUY PULLBACK | 6.0 | Great fundamentals (PEG 0.27, margin 43%) and 1h/4h positive, but 1d/1wk forecasts turn sharply negative. |
| 8 | APE-USD | BUY PULLBACK | 5.6 | bullish_prob 1.0 and 1d fc_mid +24%, but headlines are just meme-coin promo — speculative only. |
| 9 | NKN-USD | WAIT | 5.2 | 1wk fc_long +313% is eye-popping but micro-liquid; near-term mixed. |
| 10 | UAL | WAIT | 5.0 | Cheap (fwdPE 7.15) but forecasts turn negative on 1d/1wk and news flow was 'fell more than market'. |
| 11 | CRS | WAIT | 4.6 | RSI 24 oversold bounce candidate but bullish_prob 0 and 1wk fc_long -78% — dead-cat risk. |
| 12 | STRL | WAIT | 4.4 | near_term_bullish 0.0 despite bullish_prob 0.8; 1wk fc_long -69% — wait for stabilization. |
| 13 | VRT | WAIT | 4.2 | bullish_prob only 0.4 and 1d/1wk forecasts sharply negative; $2.6B AI deal already priced. |
| 14 | CHRW | AVOID | 4.0 | At 96% of 1d range (chasing), 1h/1d/1wk forecasts all negative — setup broken. |
| 15 | COHR | AVOID | 3.5 | At 92% of 1h range with bullish_prob 0 and 1wk fc_long -81% — worst risk/reward despite good news. |
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