Today’s AI Top Pick: NICE

8/5/2026 · Forecast Pure 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 · NICE79%28 resolved forecasts · 90d window · verify →

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Today's pick · Forecast PureNICEBUY NOW8.4 / 108/5/2026

NICE is the cleanest multi-timeframe bullish setup in the entire candidate pool. Every single Kronos horizon points up: 4h forecasts +9.5/+15.64/+18.72%, 1d forecasts +10.95/+25.33/+26.38%, and 1wk forecasts +15.83/+45.37/+69.12%. That's genuine agreement across short, medium and long horizons — no single blowout bar carrying the average, which is exactly the kind of internal consistency the brief tells us to prize. Bullish_prob is 1 and near_term_bullish is 0.8. Crucially, this is NOT a chase. Position in 21-bar range is only 41.4% (4h), 50.2% (1d) and 33.5% (1wk). Drawdown is -7% to -18.9% from recent highs, and the 1wk bar is actually -18.93% over the last 21 weeks. So the model is calling for a mean-reversion/rebound off a real pullback, not extrapolating a parabolic move. Contrast that with names like BFH, RNG, S, DAC, AAOI — all sitting at 90-100% of range with sharply negative forecasts (the model saying 'top is in'). Fundamentals corroborate the technical thesis: fwdPE 8.17, PEG 1.05, PE 12.12, ROE 14.91%, profitMargin 17.63%, debt/equity 0.02 (near zero), salesYoY +9.3%, epsNextY +13.99%. Fundamental_score 5.25 is the second-highest in the pool behind PBR-A, but PBR-A has uniformly negative forecasts. Perf YTD -8.63% and perfYear -33.71% mean sentiment is washed out — a coiled spring. Recent headlines are constructive (three separate positive analyst notes on 8/3-8/4, ~26% upside cited). No landmines: no guidance cut, no dilution, no legal action. Entry today (vs. waiting): mid-range positioning + positive short-term forecast (+9-11% next horizon) + no adverse catalyst = you don't get paid to wait. If you demand a pullback here you likely miss the move. Sizing is the risk lever, not timing.

NICE forecast chart
Entry zone
$94.50 – $96.50 (buy at/near current $95.96; scale in on any dip toward the 21-bar mid)
Stop loss
$87.90 (below the -8.6% dd_from_21bar_high level; a break there invalidates the mean-reversion thesis)
First target
$106 – $108 (aligns with 4h fc_long +18.7% and 1d fc_short +11%)
Longer target
$120 – $130 (1d fc_long +26% / 1wk fc_mid +45%; also inside the $113 analyst-implied upside range)
Risks
  • ADR / Israel-domiciled — geopolitical headline risk can spike overnight without warning
  • Stock is down 33.71% over the past year; a break of the -18.9% weekly drawdown low would signal the downtrend has not yet ended
  • Recom of 2.0 (buy but not strong buy) and targetUpsidePct only 17.9% — analyst enthusiasm is modest vs. the model's implied 25-45% move
  • SalesYoY only +9.3% — deceleration risk in the CCaaS space where competitors (RNG, S) are also showing weakness in forecasts
  • Broad-market forecasts (TQQQ 1d -26.55%, SOXL 1d -71%) suggest Kronos sees a general tech drawdown coming — NICE could be dragged lower even with idiosyncratic strength
Honorable mentions
DKNGThe other truly multi-tf-aligned name: 1h/4h/1d/1wk all positive (+0.42/+1.73/+6.71/+2.19 short, up to +26/+51 long). Bullish_prob 1, near_term 0.6. Position 16-49% of range — not chased. Michael Burry publicly doubling down is a real catalyst. Held back only by nosebleed PE 392 and a Kalshi/regulatory sidebar.
1INCH-USDCrypto with clean signal alignment: 1h +0.74, 1d +5.71/+28.24/+32.59, 1wk +34.52/+10.54/+56.21, near_term_bullish 1.0. Position 38.9% on weekly. Positive product catalyst (intent-based trading, Aqua liquidity layer). No fundamentals to weigh — pure signal bet, sized smaller than NICE.
Full ranking (30)
#SymbolVerdictScoreRead
1NICEBUY NOW8.4Every timeframe positive, mid-range entry, fwdPE 8, positive analyst news — the cleanest setup in the pool.
2DKNGBUY NOW7.61h+4h+1d+1wk all green, position 16-49% of range, Burry adding — high-beta co-pilot to NICE.
31INCH-USDBUY NOW6.9Multi-tf crypto alignment with real product catalyst (Aqua/intent-based DEX).
4MASK-USDBUY PULLBACK6.5Strong 1d/1wk forecasts (+35/+138), but at 100% of 1h/4h range — wait for a dip.
5HOPR-USDBUY PULLBACK6.21wk fc_long +216% off -46% dd — bottom-fisher's crypto, but only 2 timeframes available.
6FOX-USDBUY PULLBACK5.91wk +207% forecast off -36% dd, but sparse data (only 1d + 1wk).
7NXLWAIT5.5All timeframes bullish, but $7.9M micro-cap with -3022% profit margin — lottery ticket.
8ATECBUY PULLBACK5.3Positive multi-tf forecast, but 1d and 4h at 95-100% of range — chasing risk right after in-line Q2.
9ALTWAIT5.01d +32/+33/+36 is strong, but PS 14925 and FDA-adjacent headline noise make it a speculation.
10KCS-USDAVOID4.6Signal is fine, but 'Permanent U.S. Ban and $300M in Penalties' headline is a hard veto.
11AXS-USDWAIT4.4Short-term green but 1wk forecast -88.55% is a massive red flag on the long horizon.
12EFORWAIT4.31wk +72/+122% is enticing but 1d at 100% of range and RSI 81 = extended.
13ELMEAVOID4.04h fc -69% contradicts 1d fc +47% — model is internally inconsistent; liquidation play anyway.
14JELDAVOID3.71wk fc_short -50.72% across all long horizons; extended after +47% 1d run.
15SEIAVOID3.51wk fc_long -86.73%. Wells Fargo upgrade cannot offset a signal that bad.
16PBR-AWAIT3.4Best fundamentals in pool (PE 5.4, ROE 25.7) but every forecast horizon is red.
17AALAVOID3.21wk fc -21%, weekly at 82% of range after +59% run — reversion setup.
18DACAVOID3.0All timeframes deeply negative (1wk -43%) despite Q2 beat — model sees the top.
19USOAVOID2.91wk fc -34%; oil weakness confirmed across the pool (PBR-A, SEI also red).
20TQQQAVOID2.71d fc -26%, 1wk -52%; leveraged into a Kronos-called tech drawdown.
21SOXLAVOID2.61d fc -71%, 1wk -70% — model calling a serious semi correction.
22EWYAVOID2.51wk fc -71%, dd -23% already; excess FX volatility warned about explicitly.
23CMPAVOID2.4PE 198, all forecast horizons -22 to -29%. Turnaround already priced in.
24BFHAVOID2.2At 100% of 1wk range with 1d fc -43%; UBS PT bump can't offset that.
25MRAMAVOID2.1PE 1760, 1d fc -33%, 1wk fc -53% off +100% run. Classic blow-off.
26AAOIAVOID2.01d fc -80.66%, 1wk fc -78%. +493% year, gravity coming.
27AGENAVOID1.9+185% in 21 4h bars, all forecasts -30 to -62%. RSI 78.21. Textbook fade.
28SAVOID1.8At 100% of range across 4h/1d/1wk with all forecasts negative and RSI 70.
29RNGAVOID1.5At 100% of every range, RSI 74, 1d fc -47%, targetUpside -24.6%.
30EXFYAVOID1.41wk +130% then fc_long -53%; fundamental_score -5. Broken model.

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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.