Today’s AI Top Pick: COUR
9/11/2026 · 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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Coursera is the cleanest setup in the pool right now: a fully aligned multi-timeframe bullish forecast (bullish_prob 1.0, near_term_bullish 0.8) with a fresh, tangible positive catalyst. Kronos projects +10.4% (1h mid) / +22.0% (4h mid) / +24.9% (1d mid) / +19.5% (1wk mid), with long-horizon forecasts of +17.2% / +17.8% / +31.3% / +23.9% — every timeframe pointing up, and mid/long magnitudes among the strongest in the aligned group. Crucially, we are NOT chasing. Position in 21-bar range is 47% on 1h, 6% on 4h, 5% on 1d, and 1.7% on 1wk — this is a coiled name sitting near its multi-month lows (dd from 21-bar high of -18.7% daily / -18.1% weekly), not an extended one. RSI 35.9 corroborates. Compare to CHRW which sits at 99–100% of its 21-bar range with deeply negative weekly forecasts, or STRL whose weekly forecasts collapsed (-40% mid, -71% long) despite strong fundamentals — those are late-stage setups, not entries. The fundamentals are undervalued growth: PEG 0.22, fwdPe 6.35, salesYoY +22.7%, epsNextY +30%, analyst recom 1.67, targetUpsidePct 56.2%. The knock is negative margins (opMargin -6.2%, profitMargin -15.4%), but the market has already punished the stock (perfYear -50%). The clincher is the 9/9 announcement of Project Helix — a new AI-native platform tying skills to verified outcomes — exactly the kind of narrative-shifting catalyst that can flip sentiment on a heavily-shorted (8.8% SF), beaten-down name. Why today vs. waiting: 1h forecast is slightly negative (-0.44%) so a small pullback intraday is possible, but 4h/1d forecasts turn positive immediately and the price is already pinned near range lows — the marginal reward for waiting a day is small, and the AI catalyst risk is asymmetric to the upside. I'd rather scale in now than miss the gap up.
- Negative profitability: opMargin -6.23% and profitMargin -15.39% — a broad tape sell-off punishes unprofitable names first
- Short float 8.79% cuts both ways — squeeze fuel if news breaks right, but pressure if AI narrative disappoints
- 1h forecast is slightly negative (-0.44%) meaning near-term entry could see a small dip before the 4h/1d bull thesis kicks in
- targetUpsidePct 56% is generous but analyst recom 1.67 has not yet materialized in price action — perfYear -50%
- Small-cap ($1.38B) EdTech is a sentiment-driven sector; a broader growth-off day could override the setup
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | COUR | BUY NOW | 8.2 | Full multi-TF alignment (bp 1.0), coiled at 5% of daily range with +24.9% 1d mid forecast, and a fresh Project Helix AI catalyst. |
| 2 | CELH | BUY NOW | 7.7 | 1d mid +50.98% forecast, CEO insider buy, but 15.5% short float demands smaller size. |
| 3 | HUBS | BUY NOW | 7.4 | Weekly forecast +80% mid / +105% long with bp 1.0; near-term 1h drifts negative so scale in. |
| 4 | LKQ | BUY NOW | 7.1 | near_term_bullish 1.0 with 1wk mid +60% / long +65%, cheap at fwdPe 7.64 — 'Strong Sell' headline is a mild caution flag. |
| 5 | TMUS | BUY NOW | 6.7 | bp 1.0 + solid fundamentals (fwdPe 12.75, targetUpside 36.2%) but weekly forecasts are negative — more of a swing trade than a hold. |
| 6 | BX | BUY NOW | 6.4 | Positive M&A catalyst (Flow Control acquisition), 4h mid +12.5%, at 0% of 1h/4h/1d range — good spot but weekly forecast tepid. |
| 7 | SPGI | BUY NOW | 6.0 | bp 1.0 with 4h mid +10.9%, top-tier quality (opMargin 44.6%, profitMargin 30.5%) but modest forecast magnitudes. |
| 8 | SHW | BUY PULLBACK | 5.8 | bp 1.0 and RSI 31.6 oversold, but forecasts are small (1d mid +4.2%) and weekly turns negative long-term. |
| 9 | USNA | BUY PULLBACK | 5.6 | bp 1.0 and 1wk short forecast +26% but micro-cap ($274M), negative margins, and a bearish StockStory piece. |
| 10 | KKR | BUY PULLBACK | 5.4 | Great fundamentals (fund_score 8, recom 1.5) but bullish_prob only 0.4 and 1h/1wk forecasts fade. |
| 11 | APR-USD | BUY PULLBACK | 5.3 | Top-ranked score 60.9 with 4h mid +80% forecast, but at 94% of 1h range — chasing after a bounce. |
| 12 | STRL | WAIT | 4.6 | Great fundamentals (fund_score 8, perfYtd +58%) but bullish_prob only 0.2 and weekly forecast collapses (-40% mid, -71% long) — extended. |
| 13 | EIX | WAIT | 4.4 | Cheap (PE 5.85) with bp 1.0 but wildfire liability deal fell apart on 9/7 — headline risk is live and material. |
| 14 | UEC | AVOID | 4.2 | Broken fundamentals (opMargin -629%, profitMargin -513%, salesYoY -70%), weekly forecast -34% mid / -51% long. |
| 15 | CHRW | AVOID | 3.8 | Sitting at 99–100% of 1h/4h/1d range with weekly forecasts of -18% short / -37% mid / -42% long — do not chase. |
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