Today’s AI Top Pick: LULU

6/11/2026 · Forecast Pure screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Forecast PureLULUBUY NOW8.8 / 106/11/2026

LULU is the cleanest forecast_pure setup in the pool: bullish_prob = 1.0, near_term_bullish = 0.8, and — critically — every single timeframe forecast is positive in both mid and long horizons (1h +22.22%/+25.11%, 4h +48.42%/+75.78%, 1d +77.32%/+58.84%, 1wk +142.89%/+144.17%). That kind of monotonic agreement across 1h/4h/1d/1wk is rare in this list; most other 'high-magnitude' names (DOCS +187%, AVAX +534% weekly, NUS +266%, MVST +261%) have one extreme bar carrying the signal, which is exactly the outlier profile we were told to discount. Equally important is WHERE the price is. LULU's 21-bar position is 42.94% / 28.60% / 26.32% / 6.12% across 1h→1wk — squarely in the lower-middle of the range, with a -37.76% weekly drawdown and -9.96% daily drawdown. We are buying into weakness, not chasing a breakout (compare SOL, BTC, AVAX, BNB, USNA, BFAM all at or near 100% of their 1h range). The stock is compressed against support at ~$118 with multi-TF Kronos pointing meaningfully higher. Forecast magnitude is institutional-grade without being absurd: 1d short forecast +23.9% and mid +77.3% are aggressive but plausible for a mega-cap apparel name that's been beaten down. Unlike penny-tier names (MVST $1.13, NUS $5.43, COUR $5.34) where 100%+ forecasts can mean a $0.50 wiggle, LULU is a liquid, optionable large-cap where the model's conviction translates into a real, tradeable swing. TODAY is the entry because: (1) 1h drawdown is only -3.77% — we're not catching a falling knife intrabar; (2) near-term bullish 0.8 says the 1h/4h are turning; (3) position 26% in the daily range means risk/reward is asymmetric — stop just below the 21-bar low caps loss at ~8-10%, while the model's mid-target implies 40%+ upside. Waiting risks missing the inflection the 4h/1d forecasts are flagging.

Entry zone
$117.50 – $119.50 (scale in at current $118.95, add on dips toward $117)
Stop loss
$107.50 (below the -9.96% daily drawdown low; ~9.6% risk)
First target
$145 (+22%, aligns with 1h fc_long +25% and 4h fc_short reset)
Longer target
$180 – $210 (1d fc_mid +77.3% and 4h fc_long +75.8% both cluster here)
Risks
  • Apparel/discretionary sector is macro-sensitive; a consumer-spending shock invalidates the -37.76% weekly drawdown 'value' thesis
  • 1h forecast short is only +1.91% — momentum has not yet turned on the lowest TF, so chop risk near entry
  • Stop at $107.50 is ~9.6% away; if 1wk 21-bar low fails, next support is structurally thin
  • Kronos 1wk fc_long +144% is on the aggressive end — discount it; treat the 1d fc_mid +77% as the real ceiling
  • No analyst gate was applied — fundamentals/guidance could contradict the pure model signal at the next earnings print
Honorable mentions
COURAll-TF positive forecasts (1d +35%/+43.7%, 1wk +92.5%/+143.4%), position 35% on daily and 4.9% on weekly (deep value), drawdown only -7.93% on 1d. Held back from #1 only by $5.34 share price = higher noise and the 1wk forecast borders on outlier territory.
ABTCleanest large-cap setup outside LULU: 1d fc_short +23.29%, mid +31.66%, long +22.29%, 4h +43.68% long. Pos 71% on daily is the only knock — entry is less ideal than LULU but model conviction (prob 1.0, near_term 0.6) and liquidity are top-tier.
Full ranking (30)
#SymbolVerdictScoreRead
1LULUBUY NOW8.8All 4 TFs bullish, position 26-42% of range, -37.76% weekly drawdown, 1d fc_mid +77.3% — best risk/reward in the pool.
2COURBUY NOW8.31d +35%/1wk +92.5% mid forecasts with pos 4.9% on weekly and only -7.93% 1d drawdown — deep-value model signal.
3ABTBUY NOW8.0Large-cap healthcare with 1d fc_short +23.3% and mid +31.7%, all TFs aligned positive.
4BLBUY PULLBACK7.71d +48.9%/+59.8% and 1wk +130%/+122%, pos 39% on daily, -47.95% weekly drawdown — strong but weekly is extreme.
5VEEVBUY NOW7.6Pos 0-24% across TFs, 1d fc_short +23.7%/mid +41.3%, clean alignment without outlier bars.
6COINBUY NOW7.5Pos 2-17% (deeply oversold), 1d +26%/+47%/+38%, 4h long +87.9% — high beta crypto-proxy at support.
7CPRTBUY PULLBACK7.31d +12.9%/+40.1%/+31.9%, but 1h pos at 81% — wait for pullback to $30.50.
8BFAMBUY PULLBACK7.01d +27%/+67%/+56% and weekly pos 6.8%, but 1h pos 94.87% — chasing risk short-term.
9PPCBUY PULLBACK6.91d +31.5%/+31.98%/+31.17% but 1d pos already 83.62% — best to wait for retracement.
10FWRGBUY NOW6.71d +35.6%/+38.8%/+30.7%, near_term 1.0; only 3 TFs limits conviction.
11TRUPBUY PULLBACK6.51d +26.9%/+74.2%/+34.4% but pos 78-92% on 1h/4h — momentum already extended.
12RBLXBUY PULLBACK6.41d +59%/+75%/+61%, but pos at literal 0% on every TF + 4h fc_long +167% screams outlier.
13DOCSBUY PULLBACK6.21d +41.9%/+145.7% and 4h +187.97% long — magnitudes too extreme; treat as speculative.
14XRP-USDBUY PULLBACK5.91d +16.9%/+78.5%, near_term 1.0, but 1h pos 83% — wait for retest.
15ETH-USDBUY PULLBACK5.81d +18.7%/+61.4%, but 1wk fc_short -11.3% flags near-term weakness.
16SOL-USDBUY PULLBACK5.61d +27.2%/+83.2% but 1h pos 100% — wait for dip to $62.
17BTC-USDBUY PULLBACK5.51d +10.5%/+47.1% but 1wk fc_mid -0.61% inconsistency, 1h pos 100%.
18PYPLBUY PULLBACK5.31d fc_short +28.4%, but 1wk +194% long is outlier; pos 0% everywhere = oversold but unconfirmed.
19AVAX-USDWAIT5.01wk fc_long +534% is a textbook outlier; 1h pos 100% means chasing.
20CHKPWAIT4.81d +22.8%/+37.1% but 1h fc_long -10.1% breaks multi-TF agreement.
21NUSWAIT4.51wk fc_mid +266% on a $5 stock is unreliable; small-cap noise dominates.
22BNB-USDWAIT4.31wk fc_long -13.7% contradicts mid forecasts — broken alignment.
23USNAWAIT4.01h fc_mid -7.8% / fc_long -9.4% and 1d pos at 100% — chase + near-term down.
24MVSTWAIT3.7$1.13 stock with +285% 4h fc_long — outlier signal, untradeable risk.
25SKYWWAIT3.51wk fc_mid -18.95% and fc_long -16.73% directly contradict daily bullishness.
26TREXAVOID2.81h/4h fc_mid and fc_long are negative; only 1wk saves it — broken setup.
27TSMAVOID1.5bullish_prob 0; 1d -24.7%/-31.4%/-39.1% — model says short, not long.
28SLVAVOID1.5bullish_prob 0; 1d/1wk forecasts deeply negative (-37.9%, -44.7%).
29CASYAVOID1.4bullish_prob 0, pos 100% on every TF with 1wk fc_long -56.1% — classic top.
30ATROAVOID1.4bullish_prob 0; 1d -38.4%/-33.0%/-38.9%, weekly fc_mid -68.4%.

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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.