Today’s AI Top Pick: TMUS

9/14/2026 · Bullish Consensus Reliable Bullish screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Bullish Consensus Reliable BullishTMUSBUY NOW8.2 / 109/14/2026

T-Mobile is the cleanest multi-timeframe setup in this pool. It's the only candidate with data across ALL four timeframes (1h, 4h, 1d, 1wk), and every horizon confirms a constructive bias without being extended: position-in-range is 61.9% (1h), 37.95% (4h), 34.35% (1d), and 40.11% (1wk) — squarely in the middle of the range with a modest -3.94% daily drawdown. Kronos bullish_prob = 1.0 and near_term_bullish = 0.6, and the mid/long forecasts are consistently positive on the actionable timeframes (1d fc_short +8.0%, fc_mid +8.1%, fc_long +14.47%; 4h fc_long +6.11%). You're not chasing a stock that just ripped 20%+ on the 4h like FIGR, NFLX, NICE, DOX, BR, or FUTU — TMUS's 21-bar 4h move is essentially flat (-0.42%). Fundamentals are the best risk-adjusted profile in the group: fwdPe 13.12, PEG 0.67, recom 1.50 (strong buy), targetUpsidePct 32.3%, salesYoY 9.68%, operMargin 21.17%, and a $195B mega-cap that won't gap 15% on you. Compare that to KVYO (PE 771, shortFloat 26%), MIR (PE 181, profitMargin 2.39%) or QTWO (bullish_prob just 0.2). The news flow is a genuine positive catalyst: the 9/13 Goldman conference presentation on 5G/broadband/AI growth strategy and a Bloomberg piece tying Fed policy signaling to phone-plan pricing — both reinforce the growth+pricing narrative without any dilution/legal/short-report landmines. Why today, not later: TMUS is sitting in the lower third of the daily range with a -3.94% drawdown from the 21-bar high — you're buying strength on a shallow pullback, not chasing a top. Names with bigger raw upside (ALNY +63% 4h forecast, KVYO +47% 1d long) come with -25% drawdowns and weaker/negative weekly forecasts (ALNY 1wk fc_long -9.93%, FUTU 1wk fc_long -29.82%), telling you the weekly trend is still fighting them. TMUS lets you compound at ~15% expected return with far tighter risk. The honorable-mention trade is ALNY (deep-oversold rebound with near_term_bullish = 1.0 and monster 4h forecasts) — but the weekly tape is still pointing down, so it's a BUY_PULLBACK/starter rather than the primary allocation. LOPE looked mechanically strong (near_term 0.8, recom 1.0) but the 8/24 headline that the CFO was placed on administrative leave amid a government investigation into third-party stock trades is a material governance red flag — disqualifying it from #1 despite the clean chart.

TMUS forecast chart
Entry zone
$179.00 – $181.50 (buy today at/near $180.61; scale a second tranche on any dip toward $177–178, the -4% daily drawdown zone)
Stop loss
$172.50 (below the ~-4.5% 21-bar structure and 1wk position-in-range floor; ~4.5% risk)
First target
$195 (aligns with 1d fc_short/mid +8%, roughly +8% from spot)
Longer target
$207–212 (1d fc_long +14.47%, coincides with analyst target upside of +32% capped for a 3-6mo swing)
Risks
  • 1wk forecasts are soft (fc_short -0.8%, fc_mid -0.23%, fc_long -8.73%) — weekly trend hasn't fully turned, so a broader tape rollover could stall the setup
  • CFO Osvaldik announced 2027 retirement (9/14 headline) — leadership transition uncertainty, particularly around capital-return commentary
  • debtEq of 2.12 is elevated; a hawkish rate surprise could compress the equity multiple faster than peers
  • perfYear of -24.47% shows the stock has been in a downtrend; a failed breakout attempt from mid-range could retest $172
  • Competitive pressure from Verizon/AT&T on prepaid and broadband pricing — a guidance nudge on wireless net-adds could sting given fwdPe already assumes stable execution
Honorable mentions
ALNYDeep oversold rebound: 4h at 0% of range, -25.67% drawdown, near_term_bullish = 1.0, and 4h forecasts of +63/+61/+65%. 1d fc_mid +41.42% is the largest confirmed magnitude in the pool. Held back only by 1wk fc_long -9.93% and the recent 'declined' headline — best as a starter/pullback trade rather than full-size.
NFLXbullish_prob 1.0, 1d fc_mid +24.04%, clean fundamentals (fwdPe 20.3, profitMargin 27.99%, roe 49.54%) and constructive Motley Fool/Zacks coverage. Ding: 4h sits at 99.46% of range — you'd be buying the top of a short-term rip, so wait for a pullback into $75 or below.
Full ranking (15)
#SymbolVerdictScoreRead
1TMUSBUY NOW8.2Only name with 4-timeframe coverage all confirming; mid-range positioning (34-62%), bullish_prob 1.0, fwdPe 13.12, and a fresh Goldman conference catalyst.
2ALNYBUY PULLBACK7.6Oversold rebound with near_term_bullish 1.0 and 4h forecast +63%, but weekly trend still negative — scale in on strength confirmation.
3NFLXBUY PULLBACK7.21d fc_mid +24% and top-tier fundamentals, but 4h at 99% of range — wait for a dip to avoid chasing.
4NICEBUY PULLBACK7.0Massive 1wk forecasts (+15/+37/+87%) and cheap fwdPe 7.73, but 4h pinned at 100% of range.
5WAYBUY PULLBACK6.81d at 18% of range with +38% 1d long forecast and analyst upgrades; mixed 1wk fc drags conviction slightly.
6BRBUY PULLBACK6.6Positive forecasts across all tfs and near_term 0.8, but 4h at 100% of range after +19.6% run — chase risk.
7DOXBUY PULLBACK6.4Clean multi-tf positive forecasts and cheap (fwdPe 7.66), but sits at 72-100% of ranges — extended.
8FUTUWAIT6.0Big 4h/1d forecasts but 1wk fc_long -29.82% is a serious weekly-trend warning.
9MIRWAIT5.8Strong 4h/1d forecasts from an oversold base, but 1wk fc all negative and PE 181/profitMargin 2.4% is stretched.
10FIGRWAIT5.34h at 100% of range with 1d fc_mid -11.12%; positive news but tape is deteriorating on daily.
11ETORWAIT5.2Oversold on 4h (0% range) with big forecasts, but no bullish_prob signal and insider $3.12M sale is a mild negative.
12UBERWAIT4.8Not extended (10-47% range) but forecasts modest, 1wk all negative, and PEG 2.93 is stretched.
13KVYOWAIT4.5Huge 1d fc_long +47% but PE 771, shortFloat 26.2%, and -49% YTD make it a lottery ticket.
14QTWOWAIT4.0bullish_prob only 0.2 and 4h at 100% of range despite Piper Sandler top pick — signal doesn't confirm the narrative.
15LOPEAVOID3.2Chart looks fine but CFO on administrative leave amid government investigation into stock trades — governance landmine trumps the setup.

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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.