Today’s AI Top Pick: CRO-USD

7/31/2026 · Cryptocurrency screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · CryptocurrencyCRO-USDBUY NOW8.4 / 107/31/2026

CRO-USD is the cleanest multi-timeframe setup in the pool right now. Every single forecast horizon across every timeframe is positive: 1h (fc_short 0.39%, mid 7.09%, long 4.49%), 4h (0.35% / 10.87% / 13.64%), 1d (10.4% / 16.14% / 17.18%), and 1wk (15.8% / 45.64% / 85.74%). That is textbook multi-TF agreement with the magnitudes expanding as the horizon lengthens — exactly the pattern you want when initiating a position. Bullish_prob=1 and near_term_bullish=1 confirm the model's conviction. Critically, CRO is NOT extended. Position in the 21-bar range is 4.55% on the daily and 3.55% on the weekly — it is sitting near the low of its recent range with only a modest 10.6% drawdown from the 21-bar high on the daily. On the intraday tapes, 1h and 4h are essentially flat (-0.53% and -0.18% on the 21-bar), which means no blowoff move to chase. This is the definition of a base entry rather than chasing strength. The news tape adds a real catalyst: multiple headlines this past week discuss Robinhood weighing a prediction-markets deal with Crypto.com (Yahoo Finance, Zacks, FinanceFeeds). This is a legitimate, potentially large distribution deal for the CRO ecosystem — not vaporware or hype-recycle. There are no material negatives (no lawsuits, no exploits, no team turnover) in the recent flow. Why today over waiting: with a position deep in the lower range on both 1d and 1wk, the risk/reward is asymmetric — a modest stop under the local low limits downside to roughly 4-6%, while the daily/weekly forecast targets imply 17-85%+ upside. Waiting for a pullback risks missing an already-based setup that has an active news catalyst brewing. Names with larger single-horizon forecasts (LQTY, ZRO, MASK) either lack the shorter-TF confirmation, have deteriorating weekly tapes, or are only visible on 1d — CRO is the highest-quality composite signal today.

CRO-USD forecast chart
Entry zone
$0.049 - $0.051 (accumulate at/near current $0.05; add on any dip to $0.048)
Stop loss
$0.046 (about -8% from entry, below the 21-bar low and the -10.6% drawdown zone)
First target
$0.058 (+16%, aligned with 1d fc_mid of 16.14%)
Longer target
$0.072 - $0.093 (aligned with 1wk fc_mid 45.64% to fc_long 85.74%)
Risks
  • Weekly drawdown is already -29.87% — if BTC rolls over, CRO can extend losses another 15-20% before finding a floor
  • Robinhood/Crypto.com deal is exploratory, not signed — if headlines walk it back, the catalyst evaporates and price could fade to $0.045
  • 1h and 4h forecasts are near-flat (0.39% and 0.35% short) — no immediate momentum, so entry may chop for days before the daily/weekly forecasts play out
  • Exchange-token concentration risk: CRO is tightly coupled to Crypto.com corporate/regulatory news; any US regulatory action against the exchange hits token hard
  • Overall crypto tape is mixed (BNB weekly -36%, XRP weekly -25.9%) — sector beta is negative on the longer TF
Honorable mentions
LQTY-USDHighest expected return (96%) with monster 1wk forecasts (mid 131%, long 347%) and mid-range positioning (54% on 1d), bullish_prob=1. Downgraded from #1 only because 1h/4h data is missing so we can't confirm intraday tape alignment, and there is no news catalyst.
XRP-USDClean multi-TF setup with bullish_prob=1, near_term_bullish=1, 1d fc_mid 42.28%, positioned low in range (10.78% on 1d), and a concrete positive catalyst (ETF inflows returning, price rebound to $1.10). Slightly behind CRO because weekly forecasts are weak (short -11.53%, mid -9.43%).
Full ranking (30)
#SymbolVerdictScoreRead
1CRO-USDBUY NOW8.4All four timeframes forecast up, low in range, Robinhood catalyst brewing.
2LQTY-USDBUY NOW8.1Massive 1wk forecast (mid +131%, long +348%) with mid-range positioning and bullish_prob=1.
3XRP-USDBUY NOW8.0Multi-TF alignment plus ETF inflow catalyst; low in daily range at 10.78%.
4SAFE-USDBUY NOW7.61d fc_mid 43.78%, near_term_bullish=1, positive fundamentals headline (130M txns), pos 14.45%.
51INCH-USDBUY PULLBACK7.4near_term_bullish=1 and Aqua launch catalyst, but 1d pos 92.86% is extended — wait for pullback.
6FIDA-USDBUY NOW7.3All TFs bullish forecast, pos 0% on 1d, near_term_bullish=1, 1d fc_mid 33%.
7ZRO-USDBUY NOW7.21d fc_mid 135%, 1wk long 203%, pos 0% — huge upside but mixed news on price prediction.
8MASK-USDBUY PULLBACK7.01wk fc_long 456% and pos 0% is compelling, but only near_term_bullish 0.6 and no near-term catalyst.
9RENDER-USDBUY NOW6.9All TFs up, 1wk fc_long 155%, positive AI-token sentiment headline.
10ALICE-USDBUY NOW6.7near_term_bullish=1, pos 0%, but only 1d TF visible limits confirmation.
11AXS-USDBUY PULLBACK6.5near_term_bullish 0.8 and 1d fc_long 35.8%, but weekly forecast is -100% catastrophic — size small.
12LRDS-USDBUY NOW6.3near_term_bullish=1 but forecasts modest (1d mid 2.36%, long 11.6%).
13AZTEC-USDBUY NOW6.21d fc_long 81%, positive across all TFs, but no bullish_prob signal and no news.
14PLUME-USDBUY PULLBACK6.01d fc_mid 110% is huge but 1h/4h forecasts are negative — wait for daily confirmation.
15GST-USDBUY PULLBACK5.91d fc_mid 98.57%, but only single TF and no near-term intraday confirmation.
16VIRTUAL-USDBUY NOW5.81d fc_short 37%, positive AI narrative, pos 28.85% — decent but bullish_prob missing.
17BNKR-USDBUY PULLBACK5.7Strong mid/long forecasts (26%, 21%) but bullish_prob null and no catalyst.
18MAMO-USDWAIT5.51d fc_long 38.6% but fc_mid is -6.8% — inconsistent horizons.
19API3-USDBUY PULLBACK5.31d fc_long 78.78% but 1wk fc_short -66% signals near-term pain first.
20ZEN-USDWAIT5.21d fc_long 114% but 1wk fc_short -60% and fc_mid -59% is a serious drag.
21PNG-USDWAIT5.01d looks fine but 1wk fc_mid -30.6% and fc_long -17.9% undercuts the thesis.
22FAI-USDBUY PULLBACK4.9-24.83% recent, near_term 0.2, wait for base.
23ASTER-USDWAIT4.7Modest forecasts (1d long 8.53%), bullish_prob null, no strong signal.
24BNB-USDBUY PULLBACK4.51d pos 100% is extended and 1wk fc all negative; wait for pullback.
25G-USDWAIT4.31d fc_short and mid are negative, only long positive — no near-term edge.
26ARPA-USDWAIT4.11wk fc all -20.75%, near_term 0.2 — deteriorating tape.
27TIA-USDAVOID3.51wk forecasts all -90%, ecosystem shutdown headlines (Astria) — broken.
28HOPR-USDAVOID3.4near_term_bullish=0, -22.8% recent 21-bar, no catalyst.
29TNSR-USDAVOID3.21wk fc all negative (short -36.6%, mid -25%), pos 4% and dd -33% — falling knife.
30SKL-USDAVOID2.81wk fc_short -100%, fc_mid -71%, fc_long -87% — model signaling collapse.

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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.