Today’s AI Top Pick: NICE

8/6/2026 · Forecast Pure screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Forecast PureNICEBUY NOW8.3 / 108/6/2026

NICE is the cleanest setup in the pool right now: strong multi-timeframe forecast alignment, a positive catalyst that JUST fired, and elite fundamentals — a rare trifecta in this list. On the Kronos read, all three available timeframes point up with escalating magnitude: 4h fc_long +15.7%, 1d fc_long +25.08%, 1wk fc_long +71.79%, with a bullish_prob of 1. Crucially, price is NOT extended — pos_in_21bar_range is 42.89% (4h) and 63.96% (1d), with a healthy 1wk drawdown of -16.81% from the 21-bar high. There's room to run without chasing a top. The news backdrop is a genuine tailwind, not a landmine. NICE just delivered Q2 2026 results yesterday (Aug 5-6) with headlines highlighting 'Record AI Bookings and Cloud Momentum.' That's the exact type of catalyst that resolves earnings-risk overhang and can spark a re-rating in a name that's -35% YoY and -12% YTD (i.e., a coiled spring). Compare this to DKNG, which has an even more textbook MTF setup but faces imminent Q2 earnings that could swing the trade either way (Burry's exit adds skepticism), and to BXMT which is deeply oversold (RSI 17.72, all four TFs bullish forecasts) but is being pressured by a real $1B office loan headline. NICE removed its binary risk WITH a positive print. Fundamentals seal it. fundamental_score of 6.25 is the highest in the pool. PE 11.66, fwdPe 7.81, PEG 0.98, ROE 14.91%, operMargin 21.02%, profitMargin 17.63%, debtEq 0.02 (essentially debt-free), salesYoY +9.29%, epsNextY +13.92%, recom 2 (buy), targetUpsidePct +22.7%. This is a quality tech name trading at value multiples after a brutal drawdown — with Kronos calling for +25% (1d) to +72% (1wk) upside long horizon, and an earnings catalyst just landed. Waiting risks paying up after the print digests. Entry today is justified because: (1) the earnings binary is resolved, (2) mid-range positioning means you're not chasing, (3) 1wk +71.79% forecast is aggressive but corroborated by 1d +25% and 4h +15%, and (4) fundamentals give you a genuine floor if the model is wrong. Broad market news is neutral.

NICE forecast chart
Entry zone
$97.50 - $99.50 (buy today near $98.46 spot; scale-add on any pullback to $95)
Stop loss
$91.50 (below the 1wk drawdown low ~ -7% risk; invalidates the post-earnings breakout thesis)
First target
$110 (+11.7%, aligns with 1d fc_mid +19.94% partial capture and near the 21-bar high recovery)
Longer target
$125-135 (+27-37%, aligns with 1d fc_long +25% and analyst targetUpsidePct +22.7%, well below the 1wk fc_long +71.79% aggressive case)
Risks
  • Kronos 1wk fc_long of +71.79% is aggressive vs 1d +25% — the very long horizon may be an outlier; size accordingly
  • Stock is -35.09% over past year and -12.11% YTD — trend is not confirmed bullish yet; post-earnings gap could fade
  • recom is 2 (buy) but not 1 (strong buy), and targetUpsidePct is only 22.7% — analyst enthusiasm is moderate
  • Tech/AI-adjacent multiples are sensitive to macro; a broad Nasdaq pullback (TQQQ/SOXL forecasts are negative) could drag NICE regardless of fundamentals
  • No 1h timeframe available in the data — one less confirmation layer than DKNG/BXMT
Honorable mentions
SIGABest pure-forecast setup with no bad news: 4h fc_long +87.71%, 1d fc_long +57.18%, 1wk fc_long +60.83%, RSI 34.89, all three TFs bullish, bullish_prob 1. Fundamentals are respectable (PE 11.19, ROE 11%, profitMargin 21.58%, debtEq 0, targetUpsidePct +264%). Down 46% YoY offers deep-value backdrop. Slight demerit: small cap ($226M), sales -22% YoY, and TPOXX order dependency.
BXMTTextbook oversold reversal candidate: RSI 17.72, pos_in_21bar_range 0% on 3 of 4 TFs, all 4 TFs bullish (1h+18%, 4h+26%, 1d+30%, 1wk+17% mid), bullish_prob 1, near_term_bullish 1. Downgraded to #3 because the $1B office loan strain headline and Wells Fargo PT cut to $18 are real fundamental drags — this is a knife-catch, better suited for BUY_PULLBACK or scaled entries.
Full ranking (30)
#SymbolVerdictScoreRead
1NICEBUY NOW8.3Post-earnings breakout candidate: all TFs bullish, fundamentals top of pool (score 6.25), positive Q2 AI/cloud catalyst just landed, mid-range entry.
2SIGABUY NOW7.6Deep oversold biodefense name with 3/3 TF bullish forecasts (+57 to +88%), RSI 34.9, solid margins, no negative headlines.
3BXMTBUY PULLBACK7.3Extreme oversold (RSI 17.72) with 4/4 TF bullish Kronos forecasts, but $1B office loan headline warrants scaled entry not full send.
4DKNGWAIT7.0Perfect 4/4 TF bullish MTF alignment (+17-53%) at bottom of range, but Q2 earnings imminent and Burry sold — wait for print.
5MASK-USDBUY NOW6.5Crypto with 4/4 TF bullish forecasts (+11 to +290%), mid-range positioning, no fundamentals to worry about.
6ALTBUY PULLBACK6.2All 3 TFs bullish (+33 to +117%) but fundamentals are ugly (-42% ROE, huge dilution risk in biotech).
7KCS-USDBUY NOW6.0Crypto with escalating TF alignment (1d +29%, 1wk +58% mid) and positive KuCoin volume news.
8PDSBBUY PULLBACK5.8Big forecast magnitudes (1wk +189% long) but micro-cap ($40M) biotech with balance-sheet risk (debtEq 4.08).
9SNDLBUY PULLBACK5.64/4 TF bullish (+13 to +86%) at bottom of range but just hit 52-week low on weak Q2.
10HOPR-USDBUY PULLBACK5.5Big long-horizon forecast (+180% 1wk) but only 2 TFs and short-term is flat.
11LUNRWAIT5.4Positive defense contract news but 1wk forecasts negative (-24 to -31%) — MTF conflict.
12BHRBUY PULLBACK5.3All 3 TFs bullish (+21 to +38%) with mid-range positioning but weak Q2 FFO miss and fundamental score -2.25.
13NXLAVOID4.9Strong forecasts but $7M micro-cap with -3022% profit margin — dilution/delisting risk overwhelms signal.
14ZETACHAIN-USDBUY PULLBACK4.8Crypto with +71% expected return but limited TF data provided in candidate block.
15OGN-USDWAIT4.21d shows +68% mid but 1wk forecast is -88% — extreme MTF divergence, likely outlier.
16ELMEAVOID4.04h fc is -68% while 1d/1wk are +21-47% — internal contradiction; in liquidation, binary outcome.
17AGENAVOID3.6Extremely extended (+141% 21bar) at top of range and all 3 TFs forecast -22 to -60%.
18MRAMAVOID3.31wk +96% run followed by all-TF-bearish forecasts (-17 to -55%) — classic exhaustion.
19IQVAVOID3.2At 100% of 21-bar range on 1h/1wk with 4/4 TFs forecasting -1 to -20% — chase risk.
20AALAVOID3.1All 4 TFs bearish (-2 to -21%), pos 82-86% on 1d/1wk, negative profit margin.
21PGNYAVOID3.0Top of range (pos 89-96%) with all TFs bearish (-24 to -34%) — recent Barclays downgrade.
22TWLOAVOID3.01d forecast -32%, 1wk -20%, mixed short TF; stretched valuation (PE 299).
23BFHAVOID2.7At 100% of 21-bar range after +51% run with all TFs forecasting -32 to -54% — extreme fade candidate.
24TQQQAVOID2.63x leveraged with 1d -28% and 1wk -49% forecasts — decay + downtrend.
25CMPAVOID2.5At top of range with all TFs forecasting -19 to -29%; salt rally fading.
26TECKAVOID2.4After +102% year, at 94% of range with 3/4 TFs forecasting -15 to -37%.
27AMCXAVOID2.3At 100% range top after +71% 21-bar move; both TFs -15 to -30%, fundamental score -4.5.
28EXFYAVOID2.0At 100% of range across all TFs, all forecasts -13 to -56%, fundamental score -5.
29TWSTAVOID1.8Just priced $300M dilutive offering, at range highs, all TFs forecasting -54 to -71%.
30SOXLAVOID1.63x leveraged semis with 1d -82%, 1wk -70% forecasts and 4h/long divergence — decay 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.