Today’s AI Top Pick: NFLX

7/7/2026 · Forecast Pure screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Forecast PureNFLXBUY NOW8.5 / 107/7/2026

Netflix is the cleanest forecast+setup combination in the pool. Multi-timeframe agreement is strong across the meaningful horizons: 1h forecasts +14.98% mid / +25.36% long, 4h +27.9% / +33.15%, and 1d +19.1% / +29.62% / +13.78%. Only the 1wk mid (-6.09%) shows any real hesitation, and even that is nested inside a base where the stock is sitting in the bottom 9.66% of its 21-bar weekly range with a -25.61% drawdown from the weekly high. That is the exact opposite of a chase — you are buying strong Kronos forecasts (bullish_prob = 1.0, near_term_bullish = 0.8) into a name that has already taken its beating. The fundamentals reinforce it rather than fight it: fund_score = 8 (tied for best in pool), fwdPe 19.81, PEG 0.9, ROE 48.5%, operating margin 30.3%, profit margin 28.3%, salesYoY +18.6%, and analyst recom 1.65 with targetUpsidePct +51.8%. Unlike the other 8-score name (MSFT), NFLX is not pinned at 100% of its 1h and 4h ranges — MSFT is literally at the top of both short-term windows and its weekly forecast turns negative (-5.12% / -1.15%), which is a classic 'right thesis, wrong entry' setup. NFLX gives you the same fundamental quality with room to run. Headline check: the tape is mixed but not disqualifying. The 'microdramas' structural-threat piece is a narrative worry, not a guidance cut or dilution event; the 'crashed 42% — time to buy?' article actually confirms the setup we are trading. No legal, regulatory, or dilution landmine, no insider dumping, no short-seller report. Combined with a PYTD -18.9% and perfYear -41.4%, sentiment is already washed out — exactly when Kronos's multi-horizon lift is most actionable. Why today and not wait: 1h and 4h short-term forecasts are only mildly negative (-2.6% and -1.28%), meaning you are not fighting an obvious immediate dip, but 1d short is +19.1% — the model expects the daily leg to fire quickly. Waiting for a deeper pullback risks missing the daily impulse. Scale in now, keep some powder for a 4-6% dip.

Entry zone
$75.50–$77.00 (start half at $76.63 spot, add on any dip to $75.20)
Stop loss
$70.50 (below the 1wk -25.6% drawdown low; ~8% risk)
First target
$86.00 (+12%, aligns with 1d fc_short +19% and 4h fc_mid)
Longer target
$99.00–$102.00 (+30%, aligns with 1h fc_long +25% and 4h fc_long +33%)
Risks
  • 1wk mid forecast is -6.09% — model sees possible weekly chop before the daily impulse plays out
  • Structural microdrama competitive threat (SeekingAlpha 07-07) could weigh on multiple; not a catalyst but a slow drag
  • perfYear -41.4% and perfYtd -18.92% mean overhead supply is heavy; rallies may hit sellers at $85–90
  • RSI 43.8 is not oversold enough to guarantee a bounce; could still grind lower to test the weekly low
  • fund_score 8 assumes forward EPS estimates hold; a soft subscriber print at next earnings would invalidate the fwdPe 19.8 anchor
Honorable mentions
BSYVery strong mid/long alignment (1d +29.4%/+13.4%, 4h +17.8%/+31.6%, 1wk +59.9%/+38.4%), bullish_prob=1, near_term_bullish 0.8, and BNP Paribas Outperform with $40 PT provides a positive catalyst. Held back only by being at 100% of 1h/4h range — better as a BUY_PULLBACK to $31.
MSFTHighest fundamental quality (fund_score 8, PEG 1.07, ROE 34%, op margin 46.8%) with 1d fc +8.2%/+12.1% and bullish_prob=1. Downgraded from #1 because it is pinned at 100% of 1h and 4h ranges and 1wk fc turns negative — classic chase risk. Buy the first 3-4% pullback.
Full ranking (30)
#SymbolVerdictScoreRead
1NFLXBUY NOW8.5Fund_score 8 + bullish_prob 1 + weekly pos_in_range 9.66% = quality forecast into a washed-out entry.
2BSYBUY PULLBACK7.81d +29.4% and 1wk +59.9% mid forecasts with BNP $40 PT, but at 100% of 1h/4h range — wait for a dip.
3MSFTBUY PULLBACK7.6Best-in-class fundamentals but chasing at 100% of 1h/4h range with 1wk fc -5.12%.
4MATBUY NOW7.0Deeply oversold (pos 0-3%, RSI 30, perfYtd -34%), 1d/1wk fc +30-50%, fund_score 7 — ignore the 2898% 1h outlier.
5CBETH-USDBUY NOW6.7Cleanest crypto setup: 1d +8.9%/+36.7%/+41.8%, 1wk positive across all, no wild outliers.
6BNB-USDBUY NOW6.41d fc +3.95%/+22.3%/+26.7% and 1wk long +26.4%, bullish_prob=1, at daily mid-range.
7ATOM-USDBUY PULLBACK6.0Near-lows entry (1wk pos 1.91%, -29.6% dd) with strong 1d fc, but 1wk +461%/+524% is a red-flag outlier.
8VEEVWAIT5.9Strong 1d fc +18% and fund_score 6.75, but 1h fc -16.7% and pinned at 100% of every range — chase risk.
9KAS-USDBUY PULLBACK5.41d fc +38.6%/+73%, but 1wk mid -23.7% shows model conflict; near lows helps.
10CTSI-USDBUY PULLBACK5.21d/4h forecasts constructive but 1wk +1165% long is an extreme outlier to discount.
11SOUNWAIT4.61d fc +23%/+38%, but fund_score -1, shortFloat 41%, and profitMargin -91.8% make it high-risk.
12ASANWAIT4.31wk fc +184%/+247% is an outlier; near-term signals mixed, fund_score 1.5.
13FROAVOID3.41d/1wk long forecasts -41%/-52%, epsNextY -54% — model sees downside.
14NEXAAVOID3.11d/1wk forecasts -35% to -50%, bullish_prob 0, targetUpside -1.6%.
15IRDAVOID2.9Positive FDA news but forecasts collapse (-48%/-56%/-62% daily), ROE -449%.
16VRTAVOID2.61d fc -49.5%/-32%/-47.8%, 1wk -58%/-72%/-64%, bullish_prob 0 despite positive news.
17GEVAVOID2.41d fc -39%/-37%/-43%, 1wk -76% mid — Kronos calls a top.
18ASXAVOID2.31wk fc -71%/-74%/-76% and perfYear +317% signals model sees mean-reversion crash.
19PEBAVOID2.2Forecasts negative across all mid/long horizons, fund_score -2.75.
20TEAVOID1.91d fc -37%/-62%/-53%, bullish_prob 0, profitMargin -43.8%.
21AMATAVOID1.81d fc -43%/-45%/-55%, 1wk -51%/-62%/-62% — parabolic reversal setup.
22URGNAVOID1.5CMO insider selling, 1d fc -41%/-45%/-55%, RSI 74 stretched.
23GHAVOID1.5RSI 77.8, 1d fc -47%/-51%/-59%, at 100% of range — textbook top.
24TENXAVOID1.3At 100% of every range, 1wk fc -100% across all, RSI 71.
25ARMAVOID1.2PE 380, PS 69.7, 1d fc -41%/-53%/-57%, targetUpside -5.9%.
26IRDMAVOID1.1Rocket Lab deal terms call it 39% overvalued; 1d fc -54%/-50%/-55%.
27PIIIAVOID0.91wk fc -100% across all, ROE -257%, perfYtd +194% overheated.
28STEMAVOID0.81wk fc -100%/-100%/-100% overrides short-term bullish signals — model sees collapse.
29AEHRAVOID0.7Russell removal, 1d fc -62%/-61%/-67%, fund_score -3.25.
30SSTKAVOID0.5Getty deal dead, shares in free fall per SeekingAlpha — forecast irrelevant.

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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.