Today’s AI Top Pick: HUBS
6/12/2026 · Forecast Pure screen · a free sample of K3vl4r’s AI-curated picks.
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HUBS is the cleanest 'coiled spring' setup in the pool. The stock sits at -42.24% from its 21-week high with a position-in-range of exactly 0% on the weekly timeframe and just 5.74% on the daily — this is the opposite of chasing, you're buying into compressed, washed-out price action. The forecast magnitudes are massive across mid/long horizons on every higher timeframe: 1d fc_mid +98.65% / fc_long +92.45%, and 1wk fc_short +39.6% / fc_mid +173.37% / fc_long +126.93%. That's not a single-bar spike — it's persistent directional conviction. Multi-timeframe alignment is strong: bullish_prob = 1, near_term_bullish = 1, and every higher timeframe (1d, 1wk) is solidly positive on every horizon. The only soft spot is the 4h fc_short at -7.49%, but that actually reinforces the thesis — it tells you there's likely one more flush/retest in the next few sessions before the larger move kicks in, which is your entry opportunity rather than a reason to avoid. Compare this to PPC or RBLX which are pinned at 90–100% of their 1h/4h range (chasing risk), or HIMS where the entire 1wk forecast is negative (-19.72 / -49.21 / -41.59). The edge over LULU and ETH-USD (the closest competitors): HUBS has the deepest drawdown-to-forecast asymmetry and the lowest position-in-range across the most timeframes simultaneously (29/4/5/0). LULU's 1wk fc_mid +165.82% is comparable but the stock has bounced back to $121.84 at the weekly already, off the lows. HUBS is still sitting on its weekly floor. ETH is clean but with smaller magnitudes (1d fc_mid +75%). Why TODAY: position_in_21bar_range_pct = 0 on the weekly means you literally cannot get a better relative entry on that timeframe — waiting means either (a) the forecast plays out and you miss it, or (b) it breaks lower and your invalidation is clear and tight. The 1h fc_short is essentially flat (+0.16%), meaning no immediate continuation move is being priced in — you're not buying after a rip.

- 1wk fc_mid +173.37% is an extreme single forecast — model could be over-extrapolating from a washed-out base; treat the long target as aspirational, not base case
- 4h fc_short at -7.49% suggests near-term chop/retest toward ~$174 is likely before the trend resumes — sizing too aggressively at $188 risks getting shaken
- Software sector (HUBS, BL, CHKP, RBLX, DUOL) is collectively crowded in this lens — sector-wide drawdown could drag all of them; consider 0.5-0.75x normal size
- No fundamentals/analyst gate was applied — HUBS could have a known overhang (guidance cut, exec departure) that the price already reflects but the forecast doesn't model
- Drawdown of -42.24% from the weekly high means the underlying trend is still technically broken; this is a mean-reversion bet, not a trend-following one
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | HUBS | BUY NOW | 9.0 | Pos-in-range 0%/5%/4%/29% with 1d fc_mid +98.65% and 1wk fc_mid +173.37% — maximally compressed with maximally bullish forecast. |
| 2 | LULU | BUY NOW | 8.7 | Clean alignment, -36% weekly DD, 1d fc_mid +81.76% and 1wk fc_mid +165.82%, position 9.9% on weekly. |
| 3 | ETH-USD | BUY NOW | 8.5 | 1wk pos=0%, -40.7% DD, 1d fc_mid +75.44%, all weekly horizons positive, near_term_bullish=1.0. |
| 4 | COIN | BUY NOW | 8.3 | Multi-TF positive, 1d fc_mid +39.85%, -26% weekly DD, position 12% on both 1d and 1wk. |
| 5 | CHKP | BUY NOW | 8.2 | Very low in range (5-19% across 4h/1d/1wk), -32% weekly DD, all higher-TF forecasts positive. |
| 6 | VEEV | BUY NOW | 8.0 | Position 2-14% on 4h/1d/1wk, 1d fc_mid +40.43%, 4h fc_long +73.66%, near_term_bullish=1. |
| 7 | AVAX-USD | BUY NOW | 7.8 | Extreme forecasts (1wk fc_long +682%) are outlier-flag, but 1wk pos=0% and -47.75% DD give margin of safety. |
| 8 | NUS | BUY PULLBACK | 7.6 | 1wk pos=1.27%, -49.97% DD, 1d fc_short +48.9%, but penny-scale ($5.47) amplifies volatility. |
| 9 | CPRT | BUY NOW | 7.4 | Position 9-16% across 1h/4h/1d, 1wk pos=0.96%, 1d fc_mid +36.35%, near_term_bullish=0.6. |
| 10 | ABT | BUY NOW | 7.3 | Defensive name, all TFs aligned, 1d fc_mid +28.35%, position 17% on weekly, near_term_bullish=1. |
| 11 | BL | BUY PULLBACK | 7.0 | 1wk pos=2.63%, -47.38% DD, 1wk fc_mid +127.4%, but 1h pos=92.73% means wait for pullback. |
| 12 | BFAM | BUY PULLBACK | 6.8 | Clean alignment, 1d fc_mid +49.64%, but already 81-92% of 1h/4h range — chase risk. |
| 13 | PYPL | BUY PULLBACK | 6.7 | 1h pos=100% (chase risk) but 1d/1wk positions 7-19%, 1wk fc_mid +177.2%. |
| 14 | RBLX | BUY PULLBACK | 6.5 | 1h pos=88.94%, but 1d fc_mid +93.84% and weekly pos=5.17% — wait for 1h cool-off. |
| 15 | BNB-USD | WAIT | 6.2 | 1wk fc_long turns negative (-7.31%), forecast magnitudes weaker than ETH/AVAX. |
| 16 | MVST | BUY PULLBACK | 6.0 | Penny ($1.13), 1d pos=0%, 1wk fc_long +213%, but volatility makes sizing brutal. |
| 17 | COUR | WAIT | 5.6 | 1wk fc_mid +106% but short-horizon forecasts soft (1h -1.03, 4h -5.92, 1wk -3.62). |
| 18 | PPC | WAIT | 5.4 | Pos 90-100% on 1h/4h/1d — actively chasing, 1wk fc_long actually negative (-1.17%). |
| 19 | DUOL | WAIT | 4.8 | 1h mid/long negative (-15.42/-19.69), 1wk fc_short -4.4 — mixed signals despite bullish prob. |
| 20 | HIMS | WAIT | 4.3 | Entire 1wk forecast negative (-19.72/-49.21/-41.59), conflicting with 1d positive. |
| 21 | SLV | AVOID | 3.2 | Bullish_prob=0, 1d/1wk forecasts deeply negative (-16.54/-50.79), -34.54% weekly DD getting worse. |
| 22 | AA | AVOID | 3.0 | 1d fc_long -38.28%, 1wk fc_mid -45.24%, bullish_prob=0. |
| 23 | SPSM | AVOID | 2.9 | 1d/1wk pos=100% with all forecasts negative (-13 to -31%) — top of range, falling. |
| 24 | AAL | AVOID | 2.7 | 1d pos=100%, 1d fc_long -18.4%, top-of-range fade setup. |
| 25 | TSM | AVOID | 2.6 | 1wk pos=100% with 1wk fc_long -56.15% — textbook exhaustion top per model. |
| 26 | CX | AVOID | 2.5 | 1wk fc_long -41.06%, all higher-TF forecasts negative, near top of range. |
| 27 | CASY | AVOID | 2.3 | 1wk pos=100%, 1wk fc_mid -63.05%, every horizon negative. |
| 28 | RGTI | AVOID | 2.0 | 1d fc_long -49.88%, 1wk fc_mid -71.79%, quantum-name volatility with bearish forecast. |
| 29 | ATRO | AVOID | 1.7 | 1d/1wk pos=100% with 1wk fc_mid -72.81% — strongest sell signal in pool. |
| 30 | INOD | AVOID | 1.5 | 1wk pos=100%, 1wk fc_mid -83.96%, near_term_bullish=0 — clearest fade in the basket. |
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