Today’s AI Top Pick: TMUS

7/24/2026 · Model Aligned screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Model AlignedTMUSBUY NOW8.7 / 107/24/2026

T-Mobile is the cleanest setup in this pool: it hits every box we want — bullish multi-timeframe forecast, deep in-range positioning after a sharp reset, top-tier fundamentals, and analyst-blessed catalyst news. All four timeframes point up: 1h fc_mid +10.97%, 4h fc_mid +11.45%, 1d fc_mid +20.6% / fc_long +18.89%, and even the beaten-down 1wk shows +4.07% short and +3.84% long. Bullish_prob is 1.0 with near_term_bullish 1.0 — full model conviction. Crucially, TMUS is NOT extended — it's the opposite. pos_in_21bar_range is 5.55% on 1h, 4.22% on 4h, 13.72% on 1d and 0% on 1wk, with drawdowns of -10.64% / -12.31% / -12.31% / -22.15%. This is a name that just had its worst week in six years (per today's headline) but Goldman Sachs still sees 35% upside — that's precisely the kind of forced-selling washout the Kronos model is calibrated to catch. Fundamentals are the strongest in the pool: fundamental_score 8, recom 1.43 (near strong-buy), PEG 0.63, ROE 18.02, epsNextY +29.05%, salesYoY +9.48%, operMargin 21.03%, targetUpsidePct +45.1%. Cheap growth-quality after a panic sell. Compare to alternatives: CRMT has a wild forecast but the company is exploring asset sales, has -93% perfYear and negative margins — a distressed-equity landmine. INTU is dinged by a fresh class-action headline plus GenAI disruption narrative. ACN has strong forecasts but sits at 79-81% of its 1h/1d range (chasing risk). CMCSA fell 7.9% today on a spin-off announcement which creates near-term structural uncertainty. TMUS gets you clean price/forecast alignment WITHOUT a headline landmine — the bad news is priced in and analysts have already re-underwritten upside. TODAY is the entry because the stock is pinned at the bottom of its 21-bar range across every timeframe, forecasts flip positive from the short horizon out, and the 'worst week' catalyst has already forced positioning to reset. Waiting risks missing the mean-reversion; the model's short-horizon forecast (+5.94% on 4h, +10.35% on 1d) implies the bounce starts within days.

TMUS forecast chart
Entry zone
$170.00 – $173.00 (scale in near current $171.56)
Stop loss
$162.50 (below the recent panic-week low and roughly -5.3% from entry)
First target
$185 (approx +8%, aligns with 1h/4h fc_mid clustering near +11%)
Longer target
$205 – $210 (+20%, aligns with 1d fc_mid +20.6% and Goldman's ~35% upside case)
Risks
  • Just posted its worst week in ~6 years — momentum is negative and could grind lower before basing; a break below $162.50 invalidates the setup
  • debtEq of 2.17 is elevated; sensitive to rate/spread widening
  • 1wk forecasts are notably tepid (+2.87% to +4.07%) vs 1d — model conviction fades on longer horizon, capping swing upside
  • Sector rotation risk: telecom peers (ASTS mentioned in headlines) show broader group weakness; a sector-wide leg lower drags TMUS regardless of fundamentals
  • perfYear -27.15% shows structural de-rating in progress; a further guidance disappointment on next print could re-accelerate selling
Honorable mentions
CMCSAPE 4.31, fwdPe 6, pos_in_21bar_range 11-12% (deep value zone), 1d fc_mid +22.91% and 1wk fc_long +41.31%. Today's -7.9% on NBCU spin-off news is a structural value-unlock catalyst, though near-term uncertainty keeps it #2.
FISfundamental_score 7.75, PEG 0.61, fwdPe 5.85, sitting at 0% of 1h and 4h 21-bar range with 1d fc_mid +31.22% and 1wk fc_long +89.39%. Clean setup, only downside is quieter news flow than TMUS.
Full ranking (23)
#SymbolVerdictScoreRead
1TMUSBUY NOW8.7Deep-in-range reset (pos 5.55% 1h, 0% 1wk) with full multi-TF bullish alignment, fundamental_score 8, and Goldman confirming +35% upside despite worst week in 6 years.
2CMCSABUY NOW8.2PE 4.31, 1d fc +22.9%/1wk +41.3%, at 11% of range post -7.9% spin-off day — deep value with a real catalyst.
3FISBUY NOW8.0fwdPe 5.85, at 0% of 1h/4h range, 1d fc_mid +31.2% and 1wk fc_long +89.4% — quiet compounder at a washout price.
4ACNBUY PULLBACK7.6Massive 1d fc +30.67% and 1wk +45.07% with fund_score 7, but pos_in_range 79-81% means you're chasing — wait for a pullback.
5BCH-USDBUY NOW7.4Crypto with 1d fc_mid +134% and pos_in_21bar_range 0-6% — deep washout with strong Kronos alignment (bullish_prob 1).
6DECKBUY PULLBACK6.9ROE 40.86%, PEG 1.07, pos in 1d range 0% and 1wk 1.79%, but Q1 print just triggered overnight drop — let it settle.
7SSNCBUY PULLBACK6.7Fresh Q2 beat catalyst and fund_score 6.75, but 1h/4h fc_short slightly negative — better on a dip.
8GBUY PULLBACK6.5Fund_score 6.5, PEG 0.57, 1d fc_mid +23.6%, but at 100% of 1h range — don't chase the top.
9YUMCBUY PULLBACK6.3recom 1.26 and clean multi-TF signal, but SeekingAlpha downgrade ahead of Q2 print is a landmine.
10TRB-USDBUY NOW6.2Crypto with 1d fc_long +33% and 1wk fc_long +141%, at 0.8% of 1d range — deep dislocation.
11ASBUY PULLBACK6.0Fund_score 8 with salesYoY 29%, but 1wk forecasts turn negative long-term (-11.91%) — modest edge only.
12SHWBUY PULLBACK5.9ROE 60.72%, at 0% of 1d range, but debtEq 3.3 and modest forecast magnitudes limit conviction.
13DKSWAIT5.70% of 1d range with 1wk forecasts turning negative (-10.25% long) — thesis fraying on longer horizon.
14XLYWAIT5.5RSI 30.49 oversold and 1h/4h fc +6-8%, but 1wk fc_long -9.13% and no earnings catalyst — sector ETF drift.
15JUPITER-USDWAIT5.3Crypto with moderate forecasts (+8-12% mid/long) but near_term_bullish null and 1d fc_short flat.
16INTUWAIT5.0Fund_score 8 and 1d fc_long +110%, but fresh class-action lawsuit + GenAI disruption headlines are a landmine.
17DOCSWAIT4.81d fc_mid +115% looks huge but near_term_bullish only 0.2 and pos_in_1h_range 96% — chase risk on shaky signal.
18TELWAIT4.5Fund_score 8 but 1wk fc_long -26.77% and forecasts fade on longer horizon — mixed signal.
19HWKNWAIT4.2Fund_score only 2, 1wk fc_long -34.06% — near-term bounce but medium-term deterioration.
20FARTCOIN-USDWAIT4.0Meme crypto with 1d fc_short -19.54% despite +110% long — history of manipulation liquidations.
21MTSIAVOID3.0bullish_prob 0, 1d fc_long -33.64% and 1wk fc_long -67.57% — model explicitly bearish.
22GMEAVOID2.8targetUpsidePct -36.8%, recom 3, fund_score 1.25 — analyst-hated meme with weak forecast.
23CRMTAVOID2.0Perf_year -93.49%, exploring asset sales, negative margins — distressed equity, huge Kronos number is a 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.