Today’s AI Top Pick: ETH-USD

6/10/2026 · Forecast Pure screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Forecast PureETH-USDBUY NOW9.1 / 106/10/2026

ETH-USD wins on the cleanest multi-timeframe agreement in the entire pool. Every single forecast horizon across every timeframe is positive in mid/long: 1h fc_mid +21.09% / fc_long +25.1%; 4h fc_mid +33.71% / fc_long +58.46%; 1d fc_mid +78.52% / fc_long +69.95%; 1wk fc_mid +87.75% / fc_long +127.11%. The model is also constructive near-term (fc_short positive on 4h, 1d, and 1wk; only 1h is -1.01%), giving near_term_bullish a perfect 1.0 alongside bullish_prob 1.0. Critically, there is no single absurd outlier bar — magnitudes scale logically with horizon, which separates ETH from names like DOCS (4h fc_long +135.91%) or AVAX (1wk fc_long +504%) that look more like single-bar tail prints. The entry geometry is exactly what we want: position_in_21bar_range_pct is 0% on the 1h, 33% on 4h, 8.54% on 1d, and 0% on 1wk — ETH is sitting on the floor of every relevant lookback, not chasing extension. Drawdowns confirm the deep oversold state: -24.16% from the daily 21-bar high and -42.47% from the weekly 21-bar high. Translation: the model is forecasting a sharp mean-reversion off a multi-month washout, not a continuation of an already-extended uptrend. That is the textbook setup the brief asks for. TODAY beats waiting because the 1h forecast is essentially flat (-1.01% short / +21% mid), meaning the model does not expect a deeper flush — buying a 'better dip' has low expected value when you're already pinned at the 1h low and the 1d short forecast is +16.63%. Waiting also has cost: if the 1d/1wk +78%/+127% mid-term forecasts begin to materialize, every percent of patience subtracts from a very asymmetric payoff. BTC-USD (bullish_prob 1, fc_short +11.54% on 1d) is the macro tailwind that supports the ETH trade. Vs. the runners-up: BL has near-equally clean alignment but the 1h/4h fc_short are negative (-0.88% / -4.25%), suggesting a short pullback before launch — BUY_PULLBACK rather than BUY_NOW. DOCS has bigger headline numbers but the 4h fc_long of +135.91% and 1d fc_short of +72.15% read more like outlier single bars, which the brief warns against. ETH-USD has both the alignment AND the conservative magnitude profile — best risk-adjusted bet at this exact moment.

Entry zone
$1,600 – $1,640 (current $1,619; scale in here since 1h pos_in_range is 0%)
Stop loss
$1,530 (below recent low; ~5.5% risk, invalidates the 'on the floor' thesis)
First target
$1,950 (≈ +20%, aligns with 1h/4h fc_long zone)
Longer target
$2,800 – $3,000 (≈ +75-85%, aligns with 1d fc_mid +78.52% and 1wk fc_mid +87.75%)
Risks
  • BTC-USD 1wk fc_mid is -16.76% — divergence with ETH's bullish 1wk fc_mid +87.75% creates internal model risk if BTC leads lower
  • Crypto can gap on weekends/news; stop at $1,530 may slip 3-5% in a flash move
  • Weekly drawdown is already -42.47%; if structural break (regulatory, ETF flow reversal), '0% pos in range' becomes a new lower range
  • 1h fc_short is -1.01% — small near-term chop possible before the move; sizing should account for a -2 to -3% wiggle
  • Forecast is model-only (no analyst gate per brief); ETH lacks an earnings catalyst calendar, so trigger for the move is purely flows/sentiment
Honorable mentions
BLBest non-crypto setup: 1wk fc_long +148.9%, 1d fc_long +62.71%, 4h fc_long +69.98%, deeply oversold (1wk DD -46.61%, pos 4.22%), but 1h/4h fc_short slightly negative argues for a small pullback entry around $27.50 rather than chasing $28.33.
BFAMClean four-timeframe agreement (1h +35%, 4h +64%, 1d +79%, 1wk +88% fc_long), pos_in_range 0% weekly / 22% daily, DD -34% weekly, near_term_bullish 1.0 — institutional-quality compounder buy-the-dip without crypto vol.
Full ranking (30)
#SymbolVerdictScoreRead
1ETH-USDBUY NOW9.1Every TF green mid/long, pos_in_range 0% on 1h & 1wk, -42% weekly DD, no outlier bars — cleanest setup in the pool.
2BLBUY PULLBACK8.61wk fc_long +148.9% with pos_in_range 4.22% is gold, but slightly negative 1h/4h short forecasts argue for $27.50 entry.
3BFAMBUY NOW8.4All four TFs positive across all horizons, 1d fc_long +78.88%, pos 0% on 1wk, near_term 1.0 — clean equity compounder bounce.
4DOCSBUY NOW8.21wk fc_mid +155.55%, weekly DD -49.67%, all-TF positive, but 4h fc_long +135.91% reads like a tail outlier.
5TRUPBUY NOW8.01d fc_mid +78.28%, 1wk +140.91%, pos 3% on weekly, near_term 1.0 — small-cap with full alignment.
6HUBSBUY PULLBACK7.81wk fc_mid +190%, 1d fc_mid +100%, but near_term_bullish 0 and 1h fc_short -1.51% means wait for a small dip.
7PYPLBUY NOW7.61wk fc_mid +193.48%, pos 4.78% daily, near_term 0.8 — mega-cap reversion candidate at $41.45.
8LULUBUY PULLBACK7.5Massive 1wk fc_short +94% and fc_mid +151%, but pos 100% on 1h means don't chase — wait for $117.
9CMCSABUY NOW7.3All four TFs positive across all horizons, 1wk fc_mid +37%, pos 0.39% weekly — low-beta defensive bounce play.
10BTC-USDBUY NOW7.21d fc_mid +46%, pos 2% / 0% on 1d / 1wk, near_term 1.0, but 1wk fc_mid -16.76% creates internal divergence.
11RBLXBUY PULLBACK7.11d fc_mid +111.68%, 1wk fc_long +60%, pos 3.65% on weekly, but 4h fc_short -7.23% suggests a small flush first.
12CHKPBUY NOW7.0All horizons positive on 1d/1wk, 1d fc_long +39.67%, pos 49% daily, near_term 1.0 — clean cyber pick.
13NUSBUY NOW6.91wk fc_mid +313%, pos 1.27% weekly, near_term 0.8 — extreme oversold deep-value bounce, but high mag suggests outlier risk.
14CPRTBUY PULLBACK6.81wk fc_mid +49%, pos 3.35% weekly, but 4h fc_short -0.43% and pos 77% on 1h argues for patience.
15BNB-USDWAIT6.71d fc_mid +24.91% is constructive but 1wk fc_mid is only -1.12% — weakest crypto alignment of the four.
16PPCBUY PULLBACK6.61d fc_mid +37%, near_term 0.8, but pos 93.97% on 1d means buying the high — wait for $28.
17DKNGBUY PULLBACK6.51d fc_long +29%, but pos 100% on 1h/4h/1d and 1h fc_mid -19.9% argue strongly against chasing here.
18SMRBUY PULLBACK6.41d fc_mid +129% and 4h fc_long +267% are huge but the 4h fc_short -19.85% says a dip first; outlier flavor.
19COURBUY PULLBACK6.21wk fc_mid +119.84% and pos 4.92% weekly are great, but 1h/4h fc_short negative and penny-stock illiquidity.
20AVAX-USDWAIT6.11wk fc_long +504.86% is exactly the kind of single-horizon outlier the brief warns about — magnitude > credibility.
21DUOLBUY PULLBACK6.0Strong 1d fc_long +110.72% but pos 99.15% on 1d and 1h fc_mid -20.76% — at the top, do not chase.
22USNABUY PULLBACK5.81wk fc_mid +138%, but pos 100% on 4h/1d and 1h fc_mid -4.83% — extended, wait for a pullback.
23MVSTBUY PULLBACK5.51d fc_short +101.56% is an extreme outlier on a $1.13 stock; pos 0% on every TF is interesting but sub-$2 names misbehave.
24SKYWWAIT5.0Pos 100% on 4h/1d (chasing the high) and 1wk fc_mid -20.88% / fc_long -13.68% — the weekly model disagrees.
25RGTIAVOID3.2bullish_prob 0, 1wk fc_mid -68.84%, 1d fc_long -43.42% — broken model signal.
26INODAVOID2.5bullish_prob 0, 1wk fc_mid -85.72%, every horizon deeply negative.
27ATROAVOID2.0bullish_prob 0, 1wk fc_long -81.13%, pos 89% on weekly — top of range with model bearish.
28NVDAAVOID1.8bullish_prob 0, 1wk fc_short -50.58% / fc_mid -56.56% — model says distribution top.
29TSMAVOID1.5bullish_prob 0, pos 100% on 1wk with 1wk fc_long -52.81% — classic top-and-roll signal.
30CASYAVOID1.5bullish_prob 0, 1wk fc_mid -57.57%, 1d fc_short -28.82% — model sees a multi-TF breakdown.

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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.