Today’s AI Top Pick: TIGR
7/27/2026 · Forecast Pure screen · a free sample of K3vl4r’s AI-curated picks.
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TIGR (UP Fintech) is the cleanest multi-timeframe setup in this pool. Every single timeframe agrees to the upside: 1h forecasts +6.89%/+6.65%/+36.80%, 4h +41.56%/+62.57%/+65.05%, 1d +74.46%/+86.98%/+72.98%, and even the previously bruised 1wk turns positive at +2.93%/+53.97%/+65.80%. That's rare — most names in this pool have at least one weekly horizon flipping negative (APP -67%, ORLA -53%, SIMO -76%). Kronos bullish_prob = 1, near_term_bullish 0.8, expected_return 88.8%. The position profile is defensible. Yes, 1h and 4h pos_in_21bar_range are 100% (some near-term chase risk), but 1d position is a healthy 64.5% and — critically — the 1wk position is only 14.97% with a -34.25% drawdown from the weekly high. So on the timeframe that matters for a swing trade, TIGR is deeply oversold, not extended. The intraday strength is the market beginning to price in that mean reversion. Fundamentals are the second leg of the thesis and they are genuinely strong for a name this beaten down (-50.5% YTD, -56.3% 1Y). PE 7.87, fwdPe 6.04, salesYoY +48.35%, profitMargin 17.63%, ROE 14.8%, debtEq 0.08, epsNextY +63.97%, recom 1.6, targetUpside 47.8%. fundamental_score 7.5. This is a growth-at-a-value-multiple broker riding retail activity in Asia, not a lottery ticket. News check is clean: 'Moderate Buy' consensus reaffirmed 7/26, and an attractive small-cap financial writeup 6/23. The only mild negative was a minor fair value cut on 6/26 that's already digested. No dilution, no legal, no guidance cut. Waiting risks missing the daily forecast leg (+74% short-horizon) — the entry is today with a tight stop, not next week.

- China/HK ADR political risk — TIGR's core client base is Chinese retail; any US-listed ADR audit/PCAOB or Beijing crackdown headline could gap the stock 10–15%.
- 1h and 4h positions are both 100% of range, so a near-term pullback of 3–5% before the next leg up is likely — don't buy the entire size at $4.80.
- Small-cap liquidity ($858M mcap, 5.16% short float) makes it prone to sharp intraday whips vs. large-caps.
- Recent -50.5% YTD drawdown implies unresolved sentiment overhang; a broader risk-off tape could invalidate the daily/weekly reversal setup before it plays out.
- Kronos forecast for TIGR 1d +74% short horizon is aggressive — treat as directional, not a literal target; the stop matters more than the target.
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | TIGR | BUY NOW | 8.6 | Rare all-timeframe agreement with strong value fundamentals and clean news — best risk/reward in the pool. |
| 2 | MLCO | BUY NOW | 8.1 | All-TF bullish with cheap valuation (fwdPe 7.86, PEG 0.34) and 'worst is behind us' catalyst; low weekly position (21.87%). |
| 3 | ORLA | BUY PULLBACK | 7.4 | Strong 1d fc_mid +39.55% and best fundamentals (PEG 0.14, ROE 41.97%), but 1wk forecast -53.84% is a real caution flag. |
| 4 | SPIR | BUY PULLBACK | 7.2 | Deep oversold (0% of 1h/4h range, -40% dd) with big short-horizon forecasts and a real launch catalyst — negative operating margin keeps it speculative. |
| 5 | AVAV | BUY PULLBACK | 7.0 | 1d fc_long +63.25% and 4h fc_long +61.02%, weekly still washed out at -27% dd; defense tailwind but fund_score only 2.75. |
| 6 | PNNT | BUY PULLBACK | 6.7 | Huge forecast magnitude (4h fc_long +71%) at 0–4% of range, but recom 3 (Hold) and 'yield pressure' analyst cuts are a warning. |
| 7 | STX-USD | BUY NOW | 6.5 | 1d fc_long +95.94% with -17% dd; crypto proxy with strong daily setup, weekly forecast still weak. |
| 8 | OWL | WAIT | 6.3 | Solid 1d fc_long +43.94% but earnings next week is binary event risk; PE 115 is stretched. |
| 9 | HBAR-USD | BUY PULLBACK | 6.1 | 1wk fc_long +90% and multi-TF bullish, but Bonzo Lend $9M exploit and 40% TVL drop is a live overhang. |
| 10 | APP | WAIT | 5.9 | Great short/mid horizon (4h +27%, 1d +34%) but 1wk fc_long -67% is a massive red flag despite fund_score 8. |
| 11 | SLDP | BUY PULLBACK | 5.7 | 1d fc_mid +75.54% at 7% of range with speculative catalyst, but -485% profit margin and fund_score -1.75 keep it small. |
| 12 | MINA-USD | BUY PULLBACK | 5.6 | 1d fc_long +103.9%, 1wk +111.3%, deep oversold at -36% weekly dd; crypto with clean signal. |
| 13 | COW-USD | WAIT | 5.3 | 1d fc_mid +50.38% but only 3 TFs and 4h weakens — cleaner setups exist. |
| 14 | PLU-USD | WAIT | 5.2 | 1wk fc_short +258% is an outlier flag; treat as speculative crypto only. |
| 15 | FOXX | BUY PULLBACK | 5.1 | Very strong bounce forecasts from -55% weekly dd, but $18M mcap and fund_score -2 make it lottery-ticket size only. |
| 16 | PEW | WAIT | 5.0 | 1d fc_mid +26.96% at 13% of range, but negative margins, -1.25 fund_score, and thin liquidity. |
| 17 | SPA-USD | WAIT | 4.7 | 1wk fc_mid +100% but 1wk fc_short -18% shows internal conflict; skip. |
| 18 | ASM-USD | WAIT | 4.6 | 1wk fc_long +378% is a giant outlier — untradeable as a serious position. |
| 19 | CNTX | WAIT | 4.5 | 1h fc_short +289% is an obvious outlier from a $56M penny; unreliable signal. |
| 20 | MATH-USD | WAIT | 4.4 | Modest positive daily but weekly fc_short -20% and small forecast magnitude. |
| 21 | RPC | WAIT | 4.2 | 1d forecasts single-digit and 1h/1wk turning negative — no edge. |
| 22 | GT | AVOID | 3.9 | 1h fc_short -19.74%, 4h fc_short -9.89%, and 1,750 layoff announcement + $565M charge is a live negative catalyst. |
| 23 | 1INCH-USD | WAIT | 3.7 | Weekly forecasts -17% across the board — signal is not aligned. |
| 24 | NEWP | AVOID | 3.2 | 1d fc_long -39.36%, 1wk -64.24% at 100% of range — classic distribution setup. |
| 25 | TRX | AVOID | 3.0 | 1d fc_long -39.61% and 1wk -52.18% override the intraday bounce; news calls for $0.32 test. |
| 26 | AMPG | AVOID | 2.6 | All four TFs forecast negative (1d fc_long -47.23%, 1wk -61.25%); short float 29.87%. |
| 27 | FDX | AVOID | 2.4 | 1wk fc_long -34.52%, 1d fc_long -24.29% — pure downtrend forecast. |
| 28 | SIMO | AVOID | 2.1 | 1d fc_long -62.94%, 1wk -76.55%, at 77.85% of weekly range — textbook top; bullish_prob 0. |
| 29 | MRVI | AVOID | 1.8 | 1d fc_short -50%, all TFs negative at top of range, fund_score -2.75. |
| 30 | STTK | AVOID | 1.6 | 1d fc_long -79.31% at 95.97% of daily range despite JPM Overweight — model says fade the pop. |
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