Today’s AI Top Pick: ORLA

7/14/2026 · Forecast Pure screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Forecast PureORLABUY NOW8.6 / 107/14/2026

Orla Mining is the highest-quality asymmetric setup on the board right now: a deeply oversold gold miner with best-in-class fundamentals AND a Kronos daily forecast that agrees with the fundamentals. On the 1d timeframe the stock sits at pos_in_21bar_range_pct = 3.2 with a -18.32% drawdown from the 21-bar high, and Kronos forecasts +8.6% short / +34.33% mid / +37.01% long. The 4h agrees (+4.32 / +29.83 / +46.71) and the 1h short forecast has already turned constructive (mid +0.82, long +25.68). Bullish probability is 1.0 with near_term_bullish 1.0. Fundamentals are the differentiator versus every other name here: fundamental_score of 8, P/E 14.24, forward P/E 5.42, PEG 0.13, ROE 41.97%, operating margin 47.54%, sales YoY +210.58%, debt/equity 0.42, analyst recom 1.00 (unanimous strong buy), and a targetUpsidePct of +111.3. RSI 37.44 confirms the oversold read. News flow reinforces the setup — Orla reaffirmed 2026 production guidance, printed a solid Q2 (88,265 oz), and Simply Wall St pegs it as 57% undervalued. There is no landmine headline here. The honest caveat: the 1wk Kronos forecast is negative (-9.33 / -30.55 / -41.47), reflecting the -56% weekly drawdown context. That's why this is an aggressive contrarian buy, not a low-volatility swing. But the 1d/4h agreement plus the fundamental floor (a real cashflowing gold miner at 5.4x forward earnings) argues that weekly-forecast decay is Kronos extrapolating the recent bleed rather than pricing a new fundamental leg down. Today is the right entry rather than waiting because the stock is already at the very bottom of its 21-bar range (pos = 3.2 on 1d, 0 on 1wk); waiting for a lower entry likely means missing the +8.6% short-term forecast that shows up before the 21bar high has been reclaimed. Position size accordingly and use a hard stop — but this is where you get paid for buying a fundamentally cheap miner that everyone else has capitulated on.

ORLA forecast chart
Entry zone
$9.20 – $9.55 (spot $9.45; scale in on any dip toward $9.20 which is near the 21bar low)
Stop loss
$8.55 (roughly -9.5% from spot; below the 21bar low, invalidates the oversold-bounce thesis)
First target
$11.00 (+16%, in line with Kronos 1d fc_short +8.6% and reclaim of mid-range)
Longer target
$12.75 – $13.50 (+35–43%, aligned with 1d fc_long +37.01% and 4h fc_long +46.71%; ~60% of the $20 sell-side avg target)
Risks
  • Weekly Kronos forecast is bearish (fc_long -41.47%), meaning if the bounce fails the model expects continuation of the -56% weekly drawdown
  • Single-commodity exposure — a 5–10% pullback in gold could easily drag ORLA another 15% given miner beta
  • Short-term 1h fc_short is slightly negative (-0.86%), so entry may see minor chop before the bigger move
  • YTD performance -29.99% and 1-year -15.73% shows persistent selling pressure that could resume on any negative operational news
  • Small/mid-cap miner (~$3.5B) — liquidity risk on wide-market risk-off days, and institutional ownership at 70% means concentrated selling if funds derisk
Honorable mentions
AMRCleanest multi-timeframe agreement on the entire board — 1h/4h/1d/1wk all bullish (mid: +18.76/+24.33/+16.07/+28.21; long: +32.7/+29.17/+30.29/+29.36) and deeply oversold (1d pos 3.71, 1wk pos 2.63, RSI 31.95). Held back to #2 only because fundamentals are weak (currently unprofitable, met coal cyclical, fund_score 0.5) and UBS just initiated at Neutral. Pure signal play.
XPEVStrong Kronos alignment (1d +31/+50/+47, 4h +8/+26/+41) with bullish_prob 1.0 and near_term 1.0, plus positive June delivery news. Downgraded to #3 because 1h pos_in_range is 96.78 — you're chasing on the intraday timeframe; better entry on a pullback to $12.80–13.00.
Full ranking (30)
#SymbolVerdictScoreRead
1ORLABUY NOW8.6Deeply oversold gold miner (1d pos 3.2) with fund_score 8, recom 1.0, +111% target upside, and 1d Kronos +37% long.
2AMRBUY NOW8.2Cleanest 4-timeframe bullish alignment on the board with 1d pos 3.71 and RSI 31.95 — signal-pure oversold bounce.
3XPEVBUY PULLBACK7.41d fc +31/+50/+47 with strong June deliveries, but 1h pos 96.78 says don't chase — wait for pullback.
4GBUY PULLBACK7.01d/4h/1wk Kronos +21–31% long with PE 9.37 and PEG 0.57, but 4h pos 95 is stretched near-term.
5ATOM-USDBUY NOW6.8Crypto with 1d pos 10.29 and multi-TF bullish; discount extreme 1wk +306% as outlier but 1d +48% is credible.
6ASANBUY NOW6.31d fc +12.7/+36.4/+32.0 with near_term 0.8 and 'undervalued' narrative; short float 38% adds squeeze potential.
7MSFTWAIT6.01d Kronos +14/+17 constructive but 1h and 1wk negative — mixed signal in mega-cap, better setups elsewhere.
8DOGE-USDBUY PULLBACK5.91d pos 4.24, mid/long fc +33/+43, but 1wk +119% long is an outlier — decent asymmetric crypto lotto.
9CBETH-USDBUY NOW5.71d fc +27/+33 with sensible magnitudes (not outlier) and moderate 4h pullback — clean ETH-beta play.
10PSNBUY PULLBACK5.51d fc +22.83/+22.2 mid/long with recom 1.75, but 1h forecast turning negative and 1wk bearish.
11HDSNWAIT5.21d/1wk bullish (+19/+36 long) but 1h forecast negative and small-cap ($261M) with mixed sell-side notes.
12POL-USDBUY PULLBACK5.01d +27% long but 1h/4h at pos 100 — pinned at range top, wait for reset. PayPal PYUSD catalyst helps.
13BMBLWAIT4.91wk fc +201% long is an outlier flag on a broken stock; margin-expansion narrative is real but fund_score -1.25.
14SOUNWAIT4.61d fc +67/+69 attractive but 1wk short fc -17 and 41.5% short float — high-vol coin flip.
15ETHFI-USDWAIT4.41d +34% long ok but 1h/4h mid/long negative on shorter TFs — mixed crypto signal.
16TVRDWAIT4.0Post-149% rally with 1d fc_short -14% signals near-term digestion; $31M micro-cap size risk.
17TDTHAVOID3.51d fc +75.9 tempting but $9.4M nano-cap with operMargin -11,906% and profitMargin -14,065% — pure gamble.
18TROLL-USDAVOID3.01d fc -98.68% is a catastrophic model signal despite bullish_prob 1 — trust the daily flush warning.
19NEXAAVOID2.71d fc_long -63%, 1wk -58% overwhelms the OK fundamentals; targetUpsidePct -2% confirms.
20KODAVOID2.41d fc -55/-57/-60 and 1wk -14/-30/-38 after +807% year — model calling top on parabolic biotech.
21GEVAVOID2.31d fc -20/-39/-38 and 1wk fc_long -42% despite +59% YTD — Kronos flagging mean reversion.
22BIOAAVOID2.11d fc -43/-54/-67 with profitMargin -872% — post-parabolic biotech flush warning.
23PLAVOID2.01d fc_long -69%, 1wk fc_long -78% — model screaming top after +323% year, despite Wedbush buy.
24SNDAAVOID1.9All timeframes bearish (1d -14/-28/-29, 1wk -11/-32/-37) after +57% year — model calling top.
25ARMAVOID1.71d fc -32/-57/-56 with PE 353 and chip-sector rout headline — Kronos and news agree, avoid.
26WRAPAVOID1.61d fc -14.77/-23.63 mid/long after +54% rally; small-cap valuation stretched (P/S 23.43).
27TEAVOID1.51d fc -13/-36/-61 and clean-energy policy headwinds — broken chart with -37% drawdown.
28PEBAVOID1.31d fc -28/-39/-37 with negative targetUpsidePct -10.2 and fund_score -2.75 — sell signal.
29BONK-USDAVOID0.91d fc -6.87/-36.97/-77.25 and 1wk fc_long -85.71% — meme coin capitulation warning.
30SHIB-USDAVOID0.61d fc -11.89/-51/-63 and 1h fc_long -96.68% — most bearish signal on the board.

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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.