Today’s AI Top Pick: MIR

9/14/2026 · Highly Shorted Deep Rotation RSI & Conf screen · a free sample of K3vl4r’s AI-curated picks.

AI-ranked from a screened shortlist, with entry strategy, targets, and risks.

Measured weekly model accuracy · MIR64%28 resolved forecasts · 60d window · verify →

View the live MIR price forecast →

Today's pick · Highly Shorted Deep Rotation RSI & ConfMIRBUY NOW8.4 / 109/14/2026

MIR (Mirion Technologies) is the standout because it's the only candidate in this pool with a full multi-timeframe forecast block, and the near-term tape is unambiguously bullish while the setup is not extended. On the 4h timeframe, price sits at pos_in_21bar_range_pct = 0 (literally at the bottom of the range) with a -14.91% drawdown, yet the Kronos forecast prints +53.72% short / +36.21% mid / +57.49% long — a classic bounce-from-support signature rather than a chase. The daily confirms with +29.85% / +30.97% / +23.98% forecasts and a mid-range 58.1% position. Bullish probability is 1.0 and near_term_bullish is 1.0. Fundamentals are supportive even if the trailing PE (181) looks scary: fwdPe collapses to 24.14, PEG is a reasonable 1.27, sales grew 15.68% YoY, and epsNextY is projected +22.1%. Analyst recom is 1.27 (strong buy) with a targetUpsidePct of 51.9%, and institutional ownership is 107.7% (heavy conviction). Short float is 15.31% — enough to squeeze on any positive catalyst. Fundamental_score of 6.25 is one of the better prints in this list among names that also have technical confirmation. The news is a genuine tiebreaker in MIR's favor: CFO Brian Schopfer bought 20,000 shares on 9/8 (insider buying at a 52-week drawdown of -27.5% YTD -31.77% is a strong signal), and Jefferies initiated coverage at Buy on 9/4. There are no landmines — no dilution, no lawsuits, no short-seller report. The only caution is the weekly forecast (-6.28% / -6.05% / -17.87%) which reflects the broader downtrend; this argues for a swing-trade sizing rather than a long-term hold, and for respecting a tight stop. Why today: the 4h is at the exact bottom of its range with a massive positive short-horizon forecast delta, meaning waiting risks missing the mean-reversion pop. Insider buying + Jefferies initiation + oversold tape is the confluence you buy, not wait for.

MIR forecast chart
Entry zone
$15.70 – $16.05 (buy into current price of $15.87; scale in if it tags $15.50)
Stop loss
$14.45 (below the 4h range low; ~9% risk)
First target
$18.20 (aligns with daily +15% and 4h mid-range mean reversion)
Longer target
$20.50 – $21.50 (daily fc_mid +30.97% and Jefferies-implied fair value; ~30% swing)
Risks
  • Weekly forecast is negative (-6.05% mid, -17.87% long) — broader trend still down, so this is a counter-trend swing not a trend trade
  • Trailing PE of 181 and profitMargin of only 2.39% mean any earnings miss gets punished hard
  • Short float 15.31% cuts both ways — squeeze fuel on up moves but heavy pressure if support at $14.50 breaks
  • Debt/Eq 0.68 and ROE 1.49% show the balance sheet is levered relative to returns; sensitive to rate/macro shocks
  • Stock is -31.77% YTD and -27.53% over a year — knife-catch risk if the 4h bounce fails and we're just early on a continued weekly downtrend
Honorable mentions
PSIXHighest confluence score (14.75), best fundamentals combo in the pool: PE 14.32, fwdPe 10.79, ROE 40.07%, salesYoY 13.17%, recom 1.0, targetUpside 65.7%, and RSI 60.95 shows momentum. No TF forecast block provided, but on paper this is the strongest fundamental setup.
WINGScore 13.5, recom 1.47, huge -50.9% YTD drawdown into RSI 50.18 = deep rotation setup with 82.6% gross margins and 28.77% operating margins. Target upside 73%. Waiting for pullback confirmation given no TF data.
Full ranking (30)
#SymbolVerdictScoreRead
1MIRBUY NOW8.4Only name with full MTF confirmation: 4h at range bottom + big positive forecasts + CFO insider buy + Jefferies Buy initiation.
2PSIXBUY NOW7.8Top confluence 14.75 with cheap valuation (fwdPe 10.79), ROE 40%, and RSI 60.95 momentum — strongest fundamentals in pool.
3WINGBUY PULLBACK7.2Best-in-class margins (82.6% GM, 28.8% OM), -50.9% YTD washout, 73% target upside — wait for RSI reclaim.
4CRKBUY NOW7.0Cheapest PE (8.59) with 26.77% profit margin and 32.18% short float — squeeze candidate on any nat-gas tailwind.
5FOURBUY PULLBACK6.8PEG 0.52, salesYoY +32.4%, fwdPe 7.11 — value+growth, but RSI 49.64 hasn't confirmed reversal yet.
6AMRCBUY PULLBACK6.4PEG 0.35, targetUpside 79.6%, recom 1.67 — cheap but thin margins (1.4%) demand patience.
7CXTBUY NOW6.2RSI 57.85 with fwdPe 11.06, recom 1.43, and already +10.45% YTD — quiet outperformer.
8NCNOBUY PULLBACK6.0PEG 0.70, GM 59%, but bullish_prob 0 flags weak near-term tape.
9SGHCWAIT5.9Best fundamental_score (8.0), PEG 0.39, ROE 49% — but bullish_prob 0 and expected return negative, wait for tape.
10GOLDBUY PULLBACK5.8Fundamental_score 8, +41.6% YTD, +92.8% YoY, RSI 58 — extended, buy dips only.
11DLOWAIT5.6Great fundamentals (PEG 0.68, ROE 41%, salesYoY 57%) but bullish_prob 0 and negative expected return.
12TGTXWAIT5.4Blistering +80.78% YTD, ROE 100%, profitMargin 55% — but bullish_prob 0 flags a top.
13ARDTWAIT5.2Cheap PS 0.24, fwdPe 9.43, +24% YTD, but bullish_prob 0 and thin 1.22% margins.
14GLXYBUY PULLBACK5.1salesYoY +92.5%, recom 1.25, targetUpside 66.5% — crypto exposure adds beta.
15HIVEBUY PULLBACK5.0Crypto miner, salesYoY +157%, targetUpside 135%, +17% YTD — narrative trade only.
16BTDRBUY PULLBACK4.9Bitdeer +127% sales growth, recom 1.23, short float 38.21% — squeeze candidate.
17SYMWAIT4.8Symbotic epsNextY +79% but PE 467 and fwdPe 112 — priced for perfection.
18BMBLWAIT4.7RSI 59.5, fwdPe 3.19, but salesYoY -13% and ROE -96% — value trap risk.
19DUOLWAIT4.6ROE 34%, profitMargin 36%, but targetUpside -6.5% and bullish_prob 0.2.
20SMMTBUY PULLBACK4.5RSI 66.98 shows momentum, bullish_prob 0.8, but $14B cap for pre-revenue biotech is stretched.
21PPCWAIT4.4Cheap (PE 13.2, fwdPe 10.3) but recom 2.6 and only 9.8% upside.
22CRWVBUY PULLBACK4.3AI infra darling, salesYoY +115%, but debtEq 10.27 and -25% margins — high-risk narrative.
23CNXCWAIT4.2fwdPe 2.44 is optical — profitMargin -13% and -32% YTD signal business decay.
24EOSEAVOID4.0OperMargin -158%, profitMargin -331%, -65% YTD — busted story.
25INOAVOID3.9salesYoY -100%, ROE -409% — micro-cap pharma lottery ticket.
26WIXWAIT3.8OperMargin -3%, profitMargin -8%, targetUpside only 3.2%.
27BTBTBUY PULLBACK3.7Crypto miner, recom 1.0, targetUpside 164% — pure narrative bet.
28BLSHAVOID3.5RSI 65 extended, profitMargin -390%, targetUpside 10% — priced up already.
29PRGOAVOID3.4ROE -48%, salesYoY -4%, recom 2.4 — deteriorating fundamentals.
30BCDAAVOID2.5$16M micro-cap, ROE -1803%, salesYoY -100% — uninvestable.

Get AI top picks & forecasts on any stock

K3vl4r screens the market daily and ranks the best setups with AI — forecasts, scored fundamentals & technicals, and multi-horizon price targets. Create a free account to explore them all.

Create your free account →

Already a member? Sign in · Join our Discord

⚠️ 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.