Today’s AI Top Pick: CLNE

8/12/2026 · Forecast Pure screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Forecast PureCLNEBUY NOW8.4 / 108/12/2026

Clean Energy Fuels is the cleanest multi-timeframe long in this pool. Every available Kronos horizon points up with meaningful magnitude and no wild outlier bars: 4h forecasts +27.29% / +28.76% / +36.64%, 1d +21.11% / +38.74% / +41.08%, and 1wk +9.28% / +78.59% / +103.27%. Both bullish_prob (1) and near_term_bullish (1.0) are pegged high, so short-, mid-, and long-horizon models are all voting the same direction — a level of internal consistency you don't get from names like RIME (1wk fc -100%) or PSIX (1wk fc -62.94% versus +49% on 1d). Crucially, we are NOT chasing. Price sits at $1.70 with position_in_21bar_range at 15.0% on 1d and 11.88% on 1wk, and drawdown from the 21-bar high is -28.57% (1d) / -34.36% (1wk). That is exactly the profile the mandate asks for — deep in the range with room to run — rather than a top-of-range extended name like HPE (pos 100, all TFs negative) or NTRA (pos 100 across every TF with -35% to -60% forecasts). News is a genuine tailwind, not a landmine: Aug-11 Motley Fool 'Why Clean Energy Fuels Stock Is Soaring Today,' Aug-10 Form-4 showing CEO Barclay Corbus buying 25,000 shares at $1.62 (basically at today's print — insider conviction at these prices), and the Q2 deep dive framing RNG production positively. Fundamentals are the weak spot (profitMargin -21.26%, ROE -16.45%, RSI 35.8), and fundamental_score is only +1.25, but analyst recom is 1.57 with a 171.9% target upside, so the Street is on-side. The setup is: oversold price, insider buy at the level, aligned model forecasts, positive catalyst — that combination expires quickly, which is why today is the entry. Runners-up (ENVX, XRP-USD, VIRTUAL-USD) also show multi-TF agreement, but ENVX has -1.75 fundamentals and 26.48% short float (squeeze potential but binary), and the crypto names lack the insider-buy catalyst CLNE just printed. CLNE wins on the combination of forecast strength, reclaim-from-oversold structure, and freshly confirmed insider signal.

CLNE forecast chart
Entry zone
$1.66-$1.72 (scale in around CEO's $1.62 cost basis; add on any dip to $1.60)
Stop loss
$1.44 (below the 21-bar low; ~15% risk, invalidates the reclaim thesis)
First target
$2.05-$2.15 (aligns with 1d fc_short +21% and prior consolidation shelf)
Longer target
$2.80-$3.10 (1wk fc_mid +78% / fc_long +103% zone; also near analyst-implied ~$4.60 upside path)
Risks
  • Fundamentals are poor: profitMargin -21.26%, ROE -16.45%, operMargin -7.27% — this is a speculative reversal, not a quality compounder.
  • RSI 35.8 and -28.57% 1d drawdown mean the tape has been selling; if $1.60 breaks, next liquidity is materially lower given small $377M market cap.
  • 1wk forecasts (+9 / +78 / +103) are large — model may be overfitting a mean-reversion off a beaten-down base; treat long-horizon numbers as directional, not literal.
  • Regulatory/RNG credit uncertainty flagged in the Q2 StockStory deep dive — a policy headline could reprice the thesis overnight.
  • Low absolute price (~$1.70) and thin float make gap risk on any secondary offering announcement material; dilution is a real tail risk for cash-burning small-caps.
Honorable mentions
ENVXMulti-TF Kronos alignment (4h +29/+42/+61, 1d +4/+54/+47, 1wk +18/+73/+84), bullish_prob 1, near_term_bullish 1, and 26.48% short float sets up squeeze fuel — but fundamental_score -1.75 and cautious SeekingAlpha take on 2027 revenue inflection keep it #2.
XRP-USDCleanest crypto setup: all four TFs positive on mid/long (1d +12.57/+34.51/+42.72, 4h +10.56 mid), position_in_range 9.53% on 1d and 0% on 1wk (deeply oversold, not chasing), bullish_prob 1 and near_term_bullish 1 — no fundamentals gate applies.
Full ranking (30)
#SymbolVerdictScoreRead
1CLNEBUY NOW8.4All-TF bullish forecasts (1d +21/+39/+41, 1wk up to +103%), oversold at pos 15% of range, CEO just bought 25k shares at $1.62.
2ENVXBUY NOW7.8Every TF forecast is green with strong magnitude and a 26.48% short float that can squeeze; weak fundamentals cap conviction.
3XRP-USDBUY NOW7.5Multi-TF bullish, 1d pos 9.53% and 1wk pos 0% — deeply reset with 1d forecast +42.72% long.
4VIRTUAL-USDBUY NOW7.11h/4h/1d all positive mid-long (1d +9.58/+28.51/+66.25), pos 17.81% on 1d, near_term_bullish 1.0.
5ZETA-USDBUY PULLBACK6.8Huge 1d fc_mid/long +103/+132 with pos 1.85%, but magnitude looks outlier-ish — scale in only.
6NUSBUY PULLBACK6.61d +14/+65/+52 and 1wk +2/+81/+162 from oversold pos 24%, but sales -15% YoY and just-in-line Q2 makes it a wait-for-dip.
7MASK-USDBUY PULLBACK6.31wk +72/+82/+119 and 1d +2/+8/+22 constructive; short-horizon 4h/1h slightly negative — better on a fade.
8OGN-USDWAIT5.81d fc +7/+67/+79 attractive but 1wk fc pinned at -76.25% is a red flag on consistency.
9PSIXWAIT5.5Strong 1d/4h +40-50% forecasts and clean fundamentals (PE 14.3, ROE 40) but pos 100% on 1d and 1wk fc -62.94% — too extended today.
10PNG-USDBUY PULLBACK5.3Long horizons positive (1d +62, 1wk +124) but short-horizon -48% on 1wk fc_short signals near-term pain first.
11MOSWAIT5.0Mild positive 1d/1wk mid-long (+10/+13), bullish_prob 1, but magnitude too small to prioritize.
12DSSWAIT4.6Huge +66/+84/+77 1d forecasts but $5M market cap and debtEq 12.83 make it un-sizeable.
13FIXWAIT3.8Best fundamentals in pool (ROE 55, salesYoY +46) but Kronos 1d -21/-40/-30 and 1wk -73% fc_long is a hard fade signal.
14MLSSWAIT3.51wk forecasts positive but 4h/1d clearly negative — mixed signal, tiny cap.
15STLDAVOID3.21d fc -37/-36/-34 and 1wk fc -47/-53/-56 despite recent strength; pos 92.9% on 1d.
16RPRXAVOID3.0All TFs forecast -24% to -44% despite solid fundamentals — model says short, not long.
17SKMAVOID2.9Every TF forecast negative (up to -34.71% 1wk long) at pos 100% on 4h.
18AXSMAVOID2.81d -27/-30/-20 and 1wk -21/-57/-64; ROE -245 and no clear positive catalyst.
19LASRAVOID2.61wk fc -12/-57/-64 confirms post-Q2 selloff; supply-constrained Q3 guide is a real headwind.
20BMOAVOID2.4Pos 100% on 1d/1wk with -29/-30/-29 1d forecasts and recom 3.33 (Hold).
21VECOAVOID2.3Positive Citi note undercut by 1d -25/-38/-23 and 1wk -13/-36/-43 Kronos forecasts.
22STTKAVOID2.21d fc -27/-56/-72 despite Buy ratings; fundamentals catastrophic (opMargin -5570%).
23PAVOID2.1RSI 80.86, pos 100% on both TFs, 1d fc -29/-33/-36 — classic chase-and-fade risk.
24HPEAVOID2.0Pos 100% on every TF with 1d fc -51/-56/-53 and 1wk -57/-62/-66; already up 164% Y/Y.
25NRIXAVOID1.9Pos 100% on all TFs, 1d fc -41/-47/-35 despite RBC PT bump — model says take profits.
26NTRAAVOID1.8Pos 100% on every TF, 1d fc -37/-43/-42, 1wk fc -35/-60/-62 — extended and forecast to mean-revert hard.
27LPTHAVOID1.61wk fc -25/-79/-80 is a wipeout signal; fundamental_score 0 and fwdPe 476.
28OCCAVOID1.41d -32/-50/-60 and 1wk -47/-69/-74 after +258% YTD run; targetUpside -31%.
29SOXLAVOID1.23x leveraged ETF with 1d fc -86% mid and 1wk -67/-73 — path-dependency destroys this position.
30RIMEAVOID0.81wk fc -100% across all horizons and $6.65M market cap — model is pricing extinction risk.

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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.