Today’s AI Top Pick: HBAR-USD

7/20/2026 · Cryptocurrency screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · CryptocurrencyHBAR-USDBUY NOW8.7 / 107/20/2026

HBAR is the cleanest multi-timeframe setup in the pool right now. Every single forecast horizon across every timeframe is positive: 1h short/mid/long +3.92%/+9.44%/+11.64%, 4h +5.81%/+26.63%/+23.22%, 1d +4.75%/+62.66%/+63.16%, and 1wk +30.34%/+37.69%/+66.41%. That is textbook multi-timeframe agreement — no negative forecast prints anywhere — combined with bullish_prob=1 and near_term_bullish=1. Expected return of +93.4% is the highest in the entire screened pool. Crucially, this is not a chase. Position-in-21bar-range reads 0%, 3.74%, 0.70%, and 0.00% across 1h/4h/1d/1wk — HBAR is essentially pinned at the low end of its recent range on every timeframe. Weekly drawdown of −32.31% from the 21-bar high means the risk/reward is skewed heavily favorably; you're buying capitulated tape with forecasts calling for reversion. Compare to LTC (pos 100/100/100 on 1h/4h/1d — you'd be chasing) or DOGE (better setup but forecasts are less uniformly positive on the 1h). News flow is a neutral-to-positive tiebreaker: recent headlines frame $0.07 as a decision zone with 'smart money loading for a move to $0.085,' and there are no negative catalysts (unlike POL which just took layoff/pivot headlines, or TROLL/GTC with catastrophic single-timeframe forecast collapses). Combine a compressed, oversold price structure with unanimous forecast agreement and a clean news backdrop, and today's dip is the entry — waiting risks missing the reversion from the 21-bar low that four independent horizons are calling for. Against runners-up: OP has similar oversold positioning and huge weekly upside (+124%) but has a smaller/more scattered daily forecast profile; DOGE is strong but the 4h short-term forecast is slightly negative (−0.55%); LTC is a solid trend but you'd be buying the top of range. HBAR uniquely combines depth of discount + magnitude of forecast + unanimous direction.

HBAR-USD forecast chart
Entry zone
$0.0695–$0.0710 (current ~$0.07, buying into the 21-bar low)
Stop loss
$0.064 (below the weekly −32% drawdown low, invalidates the reversion thesis)
First target
$0.085 (aligns with 4h mid +26% and analyst 'smart money' target; ~+21% from spot)
Longer target
$0.115–$0.12 (weekly long +66% forecast; retests upper end of prior range)
Risks
  • Weekly recent_21bar_pct is −29.71% — this is a wounded chart; if BTC breaks lower, HBAR can extend the −32% weekly drawdown before reverting.
  • Position at 0% of range on 3 of 4 timeframes means momentum has not yet turned; buyers are catching a falling knife based on forecast, not confirmed reversal.
  • Forecast models are aggressive on the 1d (+62%) and 1wk (+66%) — if base-rate reversion fails, actual returns can trail dramatically.
  • Broad crypto tape is soft ('XRP Sinks With Bitcoin Everywhere') — a systemic BTC leg down would drag HBAR through the stop.
  • Liquidity in HBAR options/perps is thinner than majors; slippage on a sharp exit could exceed the stop distance.
Honorable mentions
OP-USDPerfect multi-timeframe positive alignment with position-in-range at 0% across ALL four timeframes and a monster 1wk forecast of +124%. Bullish_prob=1, near_term=1. Slightly less consistent daily forecast magnitude than HBAR keeps it at #2.
DOGE-USDBullish_prob=1, weekly forecast +144%/+161% mid/long, position-in-range 3% on 1d and 0% on 1wk. Only knock is a marginally negative 1h short-term (−0.52%) and 4h short (−0.55%), suggesting a slightly better entry may present in the next 24h.
Full ranking (30)
#SymbolVerdictScoreRead
1HBAR-USDBUY NOW8.7Every timeframe green, sitting at 0–3% of range, +93% expected return with clean news — highest-conviction setup.
2OP-USDBUY NOW8.20% of range on all 4 TFs, 1wk fc +124%, bullish_prob=1 — deep-value reversion play.
3DOGE-USDBUY NOW7.9Weekly fc +144/+161%, 1d pos 3%, bullish_prob=1; near-term 1h/4h forecasts marginally soft.
4ZRO-USDBUY NOW7.6Weekly fc +211%, position 0–2% across all TFs, weekly drawdown −64% — deep oversold with unanimous positive forecasts.
5PLUME-USDBUY PULLBACK7.31d fc +74/+114%, near_term=1, but daily pos 70% means minor pullback is a better entry.
6XRP-USDBUY NOW7.1Bullish_prob=1, 1d fc +43%, mid-range positioning; South Korea/HYPE headlines are noise not thesis-breakers.
7LTC-USDBUY PULLBACK7.0Bullish_prob=1, weekly fc +53/+97%, but 1h/4h/1d pos at 100% — wait for a dip, don't chase.
8SYRUP-USDBUY PULLBACK6.81d fc +64/+45%, near_term=1, but 4h mid forecast is −17% and daily pos 79% — mixed timing.
9KCS-USDBUY NOW6.71wk fc +34/+77%, positions 0–5%, bullish_prob=1 — quietly compressing base.
10CRV-USDBUY PULLBACK6.4Weekly fc +58% long, but daily pos 82% and 1wk short-term fc −77% is a huge red flag for near-term.
11AAVE-USDBUY PULLBACK6.3Weekly fc +65/+94%, positive DeFi headlines (Galaxy GOFR, stablecoin vaults), but 1h at range top and 4h/long fc negative.
12SD-USDBUY PULLBACK6.01wk fc +495/+543% is an extreme outlier — real signal or noise? Deep discount but treat magnitude with caution.
13FIL-USDWAIT5.71d fc +73% long is nice but 1wk fc −64% across all horizons is a major red flag.
14VIRTUAL-USDWAIT5.61d fc +34/+26/+30% and near_term=0.8, but 1h/4h forecasts are net negative.
15ZEN-USDWAIT5.51d fc +124% long looks great until you see 1wk fc −87% long — timeframes disagree violently.
16RED-USDBUY PULLBACK5.41d fc +55/+60%, all positive, but 4h drawdown −8.86% and no weekly data limits conviction.
17STX-USDWAIT5.31d fc +55/+60% strong, but 1wk fc is −22/−8/−18% — mixed multi-TF read.
18KITE-USDWAIT5.2No bullish_prob, no weekly data; 4h fc +65% is enticing but insufficient confirmation.
19XLM-USDWAIT5.1Bullish_prob 0.8, positive tokenization headlines, but 1d fc barely positive and forecasts modest.
20AZTEC-USDWAIT4.91d fc +40/+58% but no bullish_prob and 1h at range top (100%) — not a clean entry.
21ICNT-USDWAIT4.81d fc +96/+100/+101% is huge but no bullish_prob, 1d drawdown −46% signals structural damage.
22S-USDWAIT4.64h fc long +124% but 1d short −15.7% and no bullish_prob confirmation.
23TIA-USDWAIT4.31d fc −11.6% flat across all horizons kills the thesis despite bullish_prob=1.
24SKL-USDAVOID4.11wk fc −62.68% across all horizons — broken weekly structure.
25BIO-USDWAIT4.01d fc −19% negative across mid/long, no bullish_prob — thesis unsupported by tape.
26ASTER-USDWAIT3.9Modest forecasts across the board (+3-10%), no bullish_prob, no urgency.
27POL-USDAVOID3.7Bullish_prob=1 undercut by fresh layoff headlines and business pivot — thesis materially damaged.
28JTO-USDAVOID3.21wk fc −61% across all horizons after +133% weekly run — extension-then-reversion signal.
29TROLL-USDAVOID2.51d fc −98.4% across all horizons — model predicting a collapse. Do not touch.
30GTC-USDAVOID2.21wk fc −100% across all horizons — de-listing/collapse signal from the model.

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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.