Today’s AI Top Pick: CLNE

8/10/2026 · Forecast Pure screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Forecast PureCLNEBUY NOW8.6 / 108/10/2026

CLNE is the cleanest bullish setup in the entire pool. It has bullish_prob=1 with near_term_bullish=1, meaning EVERY timeframe the model looked at (4h, 1d, 1wk) forecasts higher prices — 4h +31.09/+31.30/+40.39%, 1d +31.79/+37.59/+45.41%, 1wk +19.79/+78.93/+160.57%. That is the kind of multi-timeframe alignment the prompt says is 'gold.' Compare that to the rest of the pool where 25+ names show Kronos flashing double-digit NEGATIVE forecasts across the board. Second, and just as important, we are NOT chasing. CLNE sits at position_in_21bar_range_pct of 8.75% on the 1d and 6.93% on the 1wk, with drawdowns of -30.67% and -36.29% from recent highs. RSI is 23.98 — deeply oversold. The recent 21-bar returns are -28.88% on the daily and -36.29% on the weekly, so the stock has already been washed out. That is the textbook opposite of a name like ROKU (RSI 77.33, 100% of range, all-timeframes forecast DOWN) or JHX (RSI 72.4, 100% of range) — those are chase risks; CLNE is a bounce setup with statistical wind behind it. Fundamentally CLNE isn't pretty (negative profit margin -21.26%, -16.45 ROE, no PE), but the analyst posture is constructive: recom 1.57 (Buy) and average target upside +194.3%. Q2 earnings just cleared on Aug 7 with a StockStory/SeekingAlpha 'deep dive' noting RNG production strength alongside regulatory uncertainty — mildly cautionary but not a landmine (no guidance cut, no dilution, no legal action). No fraud/short-seller reports. That combination of already-taken-the-pain, model-internally-consistent bullish forecast, oversold RSI, and clean-if-mixed news is why this beats the alternatives. Today is the right entry because you get the depressed price ($1.65 vs. recent range highs near $2.40+) BEFORE Kronos' short-horizon +31% window plays out. Waiting risks buying after the first pop; the setup is 'buy fear, sell recovery,' and the fear is currently priced in. If it breaks another leg lower, the -36% weekly drawdown gives you defined risk to size against.

Entry zone
$1.58 – $1.70 (scale in, current $1.65)
Stop loss
$1.42 (below the 21-bar low ~ -14% risk; invalidates oversold bounce thesis)
First target
$2.05 – $2.15 (+24-30%, aligns with Kronos 4h/1d short-horizon +31% forecast and reclaim of mid-range)
Longer target
$2.75 – $3.10 (+66-88%, aligns with 1wk mid/long +79% to +160% forecast and prior consolidation zone)
Risks
  • RNG regulatory uncertainty flagged in the Aug 10 StockStory Q2 deep dive — a negative RIN/LCFS headline could reset the whole thesis
  • Profitability is deeply negative (profit margin -21.26%, ROE -16.45%, operating margin -7.27%) — this is a signal-driven trade, not a quality trade
  • Weekly forecast of +160% at long horizon is a large magnitude; long-horizon Kronos numbers this big are often noisier than 1d/4h
  • RSI 23.98 can stay oversold; a break of $1.45 opens air pocket to prior $1.20 zone (-27%)
  • Small cap ($347M) with -25% YTD and -22.79% 1-year performance — persistent downtrend means bounces can be sold into
Honorable mentions
NUSOnly other bullish_prob=1 stock WITH real fundamentals (PE 5.02, fwdPe 4.16, profit margin 3.78%, 69% gross margin). Kronos 1d forecasts +32.25/+59.03/+43.30%, 1wk +18.20/+65.05/+85.34%. Concern: sitting at 100% of 1d range and 97% of 4h range, so you're paying up on the short frame — better as a pullback buy toward $5.15-$5.25 than a market order.
MASK-USDCrypto with bullish_prob=1 and strong multi-tf agreement in mid/long: 1d +36.91/+40.10%, 1wk +192/+427%. Position in range is mid (50%/13.64% wkly) so not chasing. Short-frame 1h and 4h are near flat/negative (-1.11 to -1.56%) which is the main tell — worth a smaller allocation than CLNE.
Full ranking (30)
#SymbolVerdictScoreRead
1CLNEBUY NOW8.6All-timeframe bullish forecast (+31 to +160%), RSI 23.98, bottom of 21-bar range — textbook oversold bounce with model conviction.
2NUSBUY PULLBACK7.1Cheap value (fwdPe 4.16) + bullish 1d/1wk forecasts of +32-85%, but 100% of range makes it a chase — buy the dip to $5.20.
3MASK-USDBUY NOW6.4Bullish across 1d/1wk (+37 to +427%), mid-range position, near_term_bullish 0.6 — solid crypto swing setup.
4ILV-USDBUY PULLBACK5.8Weekly forecast +483% is real but too extreme to trust; -41.84% drawdown, 7% of range — great location, treat magnitude skeptically.
5VIRTUAL-USDBUY NOW5.51d forecast climbs +6/+22/+66% with mid-range position; long horizon on shorter TFs turns negative — smaller size.
6SNDLBUY PULLBACK5.0All-TF bullish and at 0% of weekly range, but 'hits 52-week low on weaker Q2' headline is a red flag — need confirmation.
7PNG-USDWAIT4.4Bullish_prob=1 but mixed forecasts (1d short -9.99%, 1wk long -9.55%) and near_term_bullish=0.
8WNCWAIT4.0Mixed: short/mid forecasts negative but 1wk long +26.07% with recom 1.0 and +74% target upside; needs stabilization.
9SHIPAVOID3.7Best fundamentals in the pool (fund_score 8, PE 5.9, ROE 20.97) undercut by all-TF bearish forecasts (-40 to -62%) at 100% of 4h range.
10SEIAVOID3.5Solid Q2 and $98 Needham PT, but 1wk long forecast -77.49% and 29.69% short float — model says fade the strength.
11NEXAAVOID3.3Cheap (fwdPe 4.99, ROE 26.5) but Kronos 1d long -57.75%, 1wk long -58.31%, and target upside only +4.6%.
12KLICAVOID3.2Post-earnings 'stock may be fully priced' + all-TF forecast -21 to -50%; recent 21-bar already -28% on 4h.
13JHXAVOID3.0RSI 72.4, 100% of range on every TF, PE 121.7 — 'looks fully priced' headline aligns with the bearish forecast.
14BMOAVOID2.9100% of range on all TFs, 1wk long -48.63%, target upside -6.1% — nothing to like here.
15CIBAVOID2.8Momentum name per Zacks, but Kronos 1wk long -72.98% and target upside -11.8%; forecast overrides the momentum tag.
16NATAVOID2.6All-TF forecast -37 to -55%, at 93.7% of weekly range, target upside -2.8%.
17SKMAVOID2.51wk long -36.15%, recom 2.12, PE 56 — Q2 AIDC print not enough to override the signal.
18SNDAAVOID2.4Citizens $50 PT is a plus, but 1wk forecast -38%, profit margin -30% — signal says no.
19VECOAVOID2.3Bullish AI-packaging headlines but forecast -21 to -47% across TFs and PE 144; overextended.
20ROKUAVOID2.1RSI 77.3, 100% of 4h/1d range, all-TF forecast -9 to -36%; insider selling headline is the cherry on top.
21LPTHAVOID2.1Defense-order tailwind, but 1wk long forecast -82.84% and fwdPe 474 — signal overwhelmingly bearish.
22QMCOAVOID2.01wk 21-bar +161% already ran; 1d long forecast -43%, profit margin -36%.
23TRTAVOID1.8AI-GPU order news is nice, but 1d long forecast -70.27%, PE 338, no target coverage.
24GSATAVOID1.8Q2 miss on both lines + 100% of range on every TF + 1wk long -73.35%.
25RCUSAVOID1.6PT raises help sentiment, but PS 31, profit margin -393%, 1wk long -46%.
26SKEAVOID1.61wk forecast -74.4%, ROE -161.5%, no revenue base — pure speculation with bearish model read.
27STTKAVOID1.4Analyst initiations, but 1d long forecast -74.33% and profit margin -4,987% — biotech binary with bad signal.
28HYLNAVOID1.3Navy KARNO win is a real catalyst, but 1d long forecast -51.79% and PS 118; wait for base.
29DNTHAVOID1.1Multiple PT raises can't offset PS 3,206, 1d long -51%, 4h long -58%.
30NVTSAVOID1.0Fundamental score -3.25, 1wk long -60.6%, short float 17.4%, PS 99 — worst risk/reward in the 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.