Today’s AI Top Pick: LEU

7/27/2026 · Low Float Highly Shorted Mid Cap screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Low Float Highly Shorted Mid CapLEUBUY NOW7.2 / 107/27/2026

LEU (Centrus Energy) is the only candidate in this pool where the forecast tape actually confirms a bullish setup across multiple timeframes without being extended. The 1d forecast shows +18.65% short, +32.69% mid, +20.48% long — the strongest positive mid/long-horizon magnitudes in the entire list. The 4h tape backs it up (+19.29% mid, +26.23% long), and bullish_prob is 1.0 with near_term_bullish at 0.8. Every other name in this pool has deeply negative daily/4h forecasts (DAVE -46%, SEZL -42%, SAH -30%, RH -18% on 4h), which means the screen 'passes' on paper but the tape is signaling distribution. Crucially, LEU is NOT extended. Position in the 21-bar daily range is 80% but drawdown from the 21-bar high is only -3.1%, and on the weekly it's sitting at just 23.9% of range with a -19.4% drawdown — meaning we're buying a name that has already digested a pullback on the higher timeframe, not chasing a parabolic move like DAVE (+90% weekly, +15% daily) or SEZL (+139% weekly). The weekly forecast is negative (-16% mid), which is the one caution flag, but the shorter timeframes that matter for entry timing all point up. Fundamentals are the weakest part of the LEU story (fundamental_score -1.5, PE 54, forward PE 56.8, salesYoY -4%, epsNextY -2.4%), but the screen's thesis is low-float + high-short-float mid-cap (shortFloat 26.4%, mcap $3.22B) — this is a squeeze setup, not a value play. Analyst recom is 1.67 (Buy), targetUpside is +60%, and the news flow is clean and constructive: Truist just initiated with a Buy on 7/15 and picked LEU as their top nuclear name on 7/16. No landmines. Compared to the alternatives, DAVE has the best fundamentals (score 6.5, 58% sales growth, 37% margin) but the tape is screaming exhaustion — 1d forecast -46%, 4h -39%, weekly +90% with 100% range position on 1h/4h. SEZL and SAH show similar 'passed the screen but forecast collapsing' profiles. LEU is the only place where the setup, the tape, and the catalyst news line up TODAY.

LEU forecast chart
Entry zone
$166–$170 (current $168.88, buy at market or on any intraday dip to $166)
Stop loss
$159 (below the 21-bar daily drawdown low, ~5.8% risk)
First target
$188–$192 (aligned with 1d fc_short +18.65% ≈ $200 and 4h fc_mid target)
Longer target
$215–$225 (1d fc_mid +32.7% ≈ $224, 4h fc_long +26.2% ≈ $213)
Risks
  • Weekly forecast is negative (fc_mid -16.08%, fc_long -60%) — higher-timeframe overhead is real if the setup fails
  • Fundamentals are stretched: PE 54.28, fwdPe 56.79, salesYoY -4.05%, epsNextY -2.39% — no earnings cushion if narrative cracks
  • 26.4% short float can cut both ways — a broken level triggers forced selling as easily as a squeeze triggers buying
  • 1h forecast is slightly negative (fc_short -4.46%), suggesting possible intraday chop before the daily/4h thesis plays out
  • Uranium/nuclear sector is headline-driven; a policy or geopolitical shift could reprice the whole complex overnight
Honorable mentions
RHOnly other name with any positive forecast component (1wk fc_long +36.6%, fc_mid +15.3%) and bullish_prob 0.6, but 1h/4h/1d forecasts are all negative (-24%, -18%, -6%) and it's pinned at 100% of the 1h/4h range — classic BUY_PULLBACK, not BUY_NOW.
DAVEBest fundamentals in the pool (score 6.5, 92.7% 1yr perf, 37% profit margin, recom 1.17) and clean news, but the tape has completely rolled over: 1d fc_short -46.3%, 4h fc_mid -52.7%, weekly +90% and at 86% of range. Screen passes, forecast says wait for a real reset.
Full ranking (5)
#SymbolVerdictScoreRead
1LEUBUY NOW7.2Only name where 4h/1d forecasts are strongly positive (+19% to +33%), bullish_prob 1.0, backed by fresh Truist Buy initiation.
2RHBUY PULLBACK4.5Weekly forecast constructive (+36% long) and bullish_prob 0.6, but pinned at range highs with negative near-term tape — wait for a dip to $165.
3DAVEWAIT3.5Elite fundamentals (score 6.5) but every timeframe forecast is deeply negative (-36% to -50%) after a +90% weekly run — screen-perfect, tape-broken.
4SEZLAVOID2.5Strong fundamentals (score 6.0) undermined by uniformly bearish forecasts (1d -43%, 4h -47% mid) after a +140% weekly parabola.
5SAHAVOID1.8Sitting at 100% of 1h/4h range with -30% to -41% forecasts across all timeframes and a fresh Seaport downgrade — textbook distribution top.

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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.