Today’s AI Top Pick: MIR

9/1/2026 · Swing Setup + Squeeze screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Swing Setup + SqueezeMIRBUY NOW8.6 / 109/1/2026

Mirion Technologies (MIR) is the cleanest setup on the board today. It's the only name that stacks a top-tier fundamental_score (6.25, the highest in the pool) with an aggressive multi-timeframe forecast (4h fc_short +62.12%, fc_mid +59.92%, fc_long +43.7%; 1d fc_short +18.37%, fc_mid +40.02%, fc_long +27.6%) and bullish_prob = 1.0 / near_term_bullish = 0.8. Fundamentals check out: analyst recom 1.3, targetUpsidePct +63.9%, epsNextY +22.58%, salesYoY +15.68%, fwdPe 22.71, peg 1.18, positive profitMargin (2.39%), and elevated shortFloat 13.86% (squeeze fuel). This is a rare case where the screen and the tape agree. Critically, MIR is NOT extended — it's set up for entry, not a chase. Position-in-21bar-range is 20.55% (4h), 40.11% (1d), 13.35% (1wk) — near the lows, with dd_from_21bar_high of -17.34% (4h), -6.56% (1d), -23.38% (1wk). RSI 46.37 is mid-band. Compare that to TGTX/ALM/GRND, which pass the screen but sit near range highs with catastrophically negative forecasts (TGTX 1wk fc_long -53.35%, ALM 1wk fc_long -96.31%) — those are distribution setups. MIR is the mirror image: sold-off, base-forming, with a huge forecasted mean-reversion. The one caveat is the 1wk tape is soft (recent_21bar_pct -23.38%, fc_long -7.66%), meaning the intermediate trend hasn't turned yet. But 4h and 1d both agree bullishly, which is the setup you want for a swing squeeze — sold out on the weekly, reversing on the daily, coiling on the 4h. Recent headlines are supportive without being euphoric: SeekingAlpha's 'Why The Nuclear Sector Still Has Room To Grow' (Aug 24) and Simply Wall St. cash-flow piece (Aug 25) — no landmines like guidance cuts, dilution, or legal issues. Nuclear/radiation-detection is a persistent thematic tailwind. Why today vs. waiting: MIR is basing in the lower fifth of its weekly range with a very high forecast delta and no negative catalyst pending. Waiting for a weekly trend flip means paying up 15-25% after the fact. Enter now scaled, use the recent low as the invalidation.

MIR forecast chart
Entry zone
$14.80 – $15.30 (current $15.11; scale in on any dip toward $14.60)
Stop loss
$13.40 (below the 4h 21-bar low ~-11% from spot; invalidates the base)
First target
$17.50 – $18.20 (reclaim of 21-bar high, +16–20%)
Longer target
$21.50 – $23.00 (aligns with 4h fc_mid/long +43–60% and analyst mean upside +63.9%)
Risks
  • Weekly trend still negative: 1wk recent_21bar_pct -23.38% and 1wk forecasts flat-to-negative (-7.66% long) — a lower low invalidates the base
  • Valuation is optically stretched: trailing PE 170.86 and fwdPe 22.71 leave little cushion for any earnings miss
  • Profitability is thin (profitMargin 2.39%, operMargin 6.82%, ROE 1.49%) — not a fortress balance sheet vs debtEq 0.68
  • Short float 13.86% cuts both ways — squeeze fuel on a break out, accelerant on a break down
  • Broad tape risk: SeekingAlpha (Aug 29) flags Fed rate-hike possibility, which would hit high-multiple growth names like MIR first
Honorable mentions
CELHSecond-best fundamentals (score 5.5) with bullish_prob 1.0 and near_term 0.8; 1d forecasts are stellar (fc_mid +34.67%, fc_long +36.75%) and salesYoY 82.86% is explosive. Slightly worse because 4h/1wk forecasts are mixed and Simply Wall St. flagged the stock as 'no bargain' post-50% fall — thesis is right but tape agreement is weaker than MIR.
RAREBullish_prob 1.0 with the biggest longer-horizon 1wk forecast (fc_long +54.02%) and strongest analyst upside (+119.2%). FDA approval catalyst and Wells Fargo/JPM target hikes are real. Docked to #3 because near_term_bullish is 0 and 4h fc is flat — better as a BUY_PULLBACK than an immediate entry.
Full ranking (12)
#SymbolVerdictScoreRead
1MIRBUY NOW8.6Top fundamental score + huge multi-TF forecast + low-in-range base + clean news = the cleanest swing squeeze setup today.
2CELHBUY NOW7.4Bullish_prob 1.0 with monster 1d fc_mid/long (+34.7%/+36.8%) and screen-leading salesYoY 82.86% — solid #2.
3RAREBUY PULLBACK7.0Best analyst upside (+119.2%) and 1wk fc_long +54% but near_term 0 and 4h flat — wait for a bounce off the base.
4GENIBUY PULLBACK6.2Near_term_bullish 0.8 with epsNextY +190% and recom 1.29, but 4h fc_short -12% suggests a better dip is coming.
5BTDRBUY PULLBACK5.61d fc_long +35.6% and salesYoY 127.7% with 39% short float, but 1wk fc_mid -23% and near_term 0.4 argue for patience.
6LUNRWAIT5.2Bullish_prob 1.0 and near_term 0.8 but 1wk in freefall (dd -65.6%, fc_long -45.3%) — heavy weekly damage.
7GLXYWAIT4.8Daily at 82% of range with no bullish_prob and 4h fc_mid -11% — chasing here, no edge today.
8GRNDAVOID3.4Great fundamentals (score 8) undermined by bullish_prob 0 and every-timeframe negative forecast (4h fc_short -26.7%).
9DLOAVOID3.0Screen darling (score 8) but 1wk fc_long -23% and daily near range top — tape says distribution.
10TGTXAVOID2.2Fundamentals score 8 obliterated by 4h/1d/1wk fc all -37% to -53% and price at 87% of weekly range — buyout rumors are the only thing holding it up.
11ALMAVOID1.61wk fc_long -96.31% after +300% perfYear — parabolic exhaustion, screen is a mirage.
12AXTIAVOID1.2PE 3258, +1990% perfYear, and 1wk fc_long -70.6% — textbook blow-off top, screen is a trap.

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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.