Today’s AI Top Pick: ERII
7/22/2026 · Forecast Pure screen · a free sample of K3vl4r’s AI-curated picks.
AI-ranked from a screened shortlist, with entry strategy, targets, and risks.
View the live ERII price forecast →
Energy Recovery (ERII) is the cleanest multi-timeframe setup in this pool. Every single horizon on every single timeframe points UP: 1h forecasts +4.17%/+2.19%/+21.95%, 4h +11.88%/+36.85%/+46.74%, 1d +51.47%/+49.32%/+47.20%, and 1wk +30.78%/+71.11%/+73.21%. Kronos bullish_prob is 1.0 and near_term_bullish is a perfect 1.0. When 16 forecast points across four timeframes all agree in direction and the magnitudes actually increase as horizons extend, that is model-internal consistency of the highest order — not a single 'outlier bar' driving the signal. Critically, this isn't a chase. Position-in-21bar-range is 1.25% on the daily and 11.86% on the 4h — literally at the bottom of the recent range — with a 1d drawdown of only -8.39% and 1wk drawdown of -23.49%. That's the ideal 'oversold into a bullish forecast' geometry the lens rewards. Contrast this with names like STLD (98.76% 4h range position) or KOD (87.35% 1d position) where you'd be buying the top. Fundamentals back the technical setup rather than fighting it: PE 22.57, fwd PE 25.81, debt/equity a rock-bottom 0.05, ROE 10.77, operating margin 19.17%, gross margin 64.27%, profit margin 15.07%. Institutional ownership 88.26% signals quality holders. The only fundamental yellow flags are a weakish recom (2.6) and a modest 27.6% analyst upside target — but the model is disagreeing with analysts here, and that's the whole point of a forecast-pure lens. Recent news is a tailwind: Energy Recovery announced five new contracted wastewater projects in India on June 29, a legitimate positive catalyst with no offsetting headline. Today is the entry because you get the confluence of (a) price sitting near the bottom of its 21-bar range on multiple timeframes, (b) unanimous upward Kronos signal, (c) a legitimate business catalyst, and (d) no red-flag headlines to fade. Waiting risks losing the low-in-range advantage; the 4h/1d forecasts already imply a strong short-window move.

- Weak analyst sentiment (recom 2.6, targetUpsidePct only 27.6%) means the crowd disagrees with the Kronos signal — a sell-side downgrade could stall momentum
- Sales YoY is -3.05% and YTD performance is -36.10%; the fundamental trend is decelerating, so the setup relies on a technical bounce more than a growth thesis
- Small-cap ($444M market cap) with 5.12% short float — can gap either direction on light volume
- PEG of 2.57 and forward PE of 25.81 are not cheap; a broader market risk-off day hits richly-valued small caps hardest
- 1wk drawdown of -23.49% means the primary trend is still down — Kronos is calling a reversal, not a continuation, which has lower base-rate hit odds
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | ERII | BUY NOW | 8.9 | Unanimous multi-TF bullish forecasts (up to +73% 1wk long) with price pinned at the bottom of its 21-bar range and a real India contract catalyst. |
| 2 | BAH | BUY NOW | 7.8 | All four TFs point up with 1d forecast +34% on cheap fundamentals (PE 9.26, ROE 80), tempered by a BofA underperform tag. |
| 3 | XPEV | BUY NOW | 7.5 | Every TF forecasts +13% to +53% with price at 4-5% of range — deep oversold bounce setup on an EV growth name. |
| 4 | ECC | BUY NOW | 7.0 | All-positive TFs (1wk +30% to +51%) with reasonable range positioning and 28% analyst upside — cleanest yield-name setup. |
| 5 | MIR | BUY PULLBACK | 6.8 | 1h/4h/1d forecasts +14% to +34% with 1.37% 1wk range position, but 1wk forecast still negative and Q2 earnings decline expected. |
| 6 | LOCL | BUY PULLBACK | 6.2 | Massive forecasts (1d +92%, 1wk +117%) with position 0 in range, but micro-cap with -138% profit margin makes it lottery-ticket sizing. |
| 7 | STX-USD | BUY NOW | 6.0 | Crypto with 1d/4h forecasts +12% to +55%, near_term_bullish 1.0, though 1wk forecast still negative caps conviction. |
| 8 | PEW | BUY PULLBACK | 5.8 | All-TF positive (1d +19.5%, 1wk +17.6%) with 1h at 0% range, but negative margins and DTC-firearms regulatory risk. |
| 9 | PLBY | BUY PULLBACK | 5.5 | Strong 1h/4h/1d forecasts (+9% to +36%) with 1wk position at 13% of range, but material insider selling last week. |
| 10 | AGI | BUY PULLBACK | 5.3 | Best fundamentals in the pool (PE 11.74, PM 51%, ROE 26%) with 1h/4h forecasts up double-digits, but pos_in_range 100% on 1h/4h — don't chase. |
| 11 | ATRA | WAIT | 4.8 | 1wk forecast +59% but short-term forecasts turning mixed and 1h at top of range — needs pullback. |
| 12 | NXTC | WAIT | 4.5 | 1d forecast +49% to +100% but only 1d data available and setup is dominated by Avere merger + $320M placement dilution. |
| 13 | VEEE | WAIT | 4.2 | Wild 1wk forecast +590% but stock already up 306% in 21 days — extreme outlier, not a clean entry. |
| 14 | VVV-USD | WAIT | 3.8 | 1d/1wk mid/long forecasts crash to -82%/-84% despite short-term positivity — inconsistent signal, third-party negative price call. |
| 15 | STLD | AVOID | 3.3 | Every horizon negative on 1d/1wk (-25% to -47%) and pos_in_range 98.76% on 4h — bad geometry despite record Q2. |
| 16 | AZIO | AVOID | 3.2 | 1wk +611% forecast is exactly the kind of extreme outlier to distrust; ROE -5847%, targetUpside -60.7%. |
| 17 | AKAM | AVOID | 3.0 | 1d forecast -32% to -34% and 4h -16% to -28% overwhelm the tiny 1h bounce — no multi-TF agreement. |
| 18 | BMO | AVOID | 3.0 | All TFs forecast down (-15% to -49%) at 94.7% of 1wk range with tariff-headline overhang. |
| 19 | MAMA | AVOID | 2.9 | Every forecast horizon negative (-13% to -60%) despite fundamental_score 6 — model says avoid. |
| 20 | EFXT | AVOID | 2.8 | 1d/1wk forecasts crater (-26% to -72%) despite short 1h positivity — inconsistent, bullish_prob 0. |
| 21 | CYCN | AVOID | 2.6 | 1wk long forecast -27% and 4h long -47%; profit margin -264%, no fundamental cushion. |
| 22 | KOD | AVOID | 2.5 | All TFs forecast -14% to -60% at 87% of 1d range — CFO recently sold $1M. |
| 23 | BIOA | AVOID | 2.5 | Every forecast negative -22% to -66%, operating margin -986%, at 95% of 1h range. |
| 24 | HYMC | AVOID | 2.4 | 1d/1wk forecasts collapse to -30% to -77% despite short-term positivity; bullish_prob 0. |
| 25 | APPS | AVOID | 2.3 | Uniformly negative forecasts (-19% to -57%) with 27.93% 4h drawdown already in and no bullish signal. |
| 26 | TE | AVOID | 2.2 | 1d/1wk forecasts negative (-17% to -50%) and profit margin -43.78% — short-term bounce not enough. |
| 27 | XENE | AVOID | 2.2 | All TFs forecast -16% to -45% at 91% of 1wk range — top-of-range with unanimous down signal. |
| 28 | PEB | AVOID | 2.0 | Every TF forecast -14% to -38% at 100% of 1wk range with two underweight ratings this week. |
| 29 | ASX | AVOID | 1.9 | 1d forecast -56% to -62% and 1wk -65% to -74% after 281% 1yr run — classic mean-reversion short setup. |
| 30 | GNPX | AVOID | 1.5 | 1h/4h/1d forecasts -55% to -89% after a 1279% run — Kronos calling the top hard. |
Get AI top picks & forecasts on any stock
K3vl4r screens the market daily and ranks the best setups with AI — forecasts, scored fundamentals & technicals, and multi-horizon price targets. Create a free account to explore them all.
Create your free account →Already a member? Sign in · Join our Discord