Today’s AI Top Pick: UBER
8/5/2026 · Lean Rider screen · a free sample of K3vl4r’s AI-curated picks.
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UBER is the cleanest setup on the board today because it combines multi-timeframe agreement, a genuinely non-extended entry, and forecast strength across the horizons that matter — without the 'top of the range' problem afflicting the gold-miner cohort. Position in the 21-bar range is 2.37% on 1h, 53.49% on 4h, and 44.53% on 1d — this is the rare candidate that is literally pulled back to the middle of its intermediate-term range while everything else in the lean_rider pool (GFI, AEM, RGLD, WPM, NEM, B, AU, PAAS, CDE, KGC) is pinned at 95–100% of range on multiple TFs. The forecast tape is uniformly constructive: 1h fc_short +3.83 / mid +3.44 / long +3.93, 4h +2.48 / +5.69 / +4.78, and — most importantly — 1d fc_short +3.78 / mid +17.34 / long +15.25. Every single short/mid/long forecast across 1h, 4h, and 1d is positive, and even the 1wk is only mildly negative in mid/long (-4.03 / -2.11) which is what we typically see for a healthy pullback candidate. Bullish_prob = 1.0 and near_term_bullish = 0.4 (a touch soft, reflecting the recent -5.2% 21-bar move on 1d, which IS the entry). Fundamentals hold up too: fwdPe 16.07, ROE 36.55, profit margin 15.91, sales YoY 18.31, EPS next year 34.02, recom 1.39 (strong buy), targetUpside 45.4%. The Wayve/London autonomous news is a mild positive catalyst; the 'Waymo exit warrants caution' SA piece is a legitimate risk but is opinion-piece, not company guidance — I'm noting it, not disqualifying on it. The trade-off vs. ORCL (also strong fundamentals) is that ORCL's 1h fc_short is -6.38 and 4h fc_mid is -2.06 — mixed near-term, whereas UBER points up on every near/mid horizon. TODAY is the right entry precisely because UBER has pulled back — the 1d is down 5.2% off recent highs and sitting at 44% of range, while the forecast expects +17% on the mid horizon. Waiting risks buying it back at the top of the daily range after the +3.8% short-term fc plays out.

- Waymo/robotaxi competitive exit narrative (SeekingAlpha 8/5) could pressure the multiple if it gains traction with sell-side
- PEG of 3.06 is stretched relative to peers in the pool — any growth deceleration gets punished quickly
- 1wk fc_mid -4.03 and fc_long -2.11 show weekly-scale weakness; a break of $66 would invalidate the pullback thesis
- Perf YTD -11.9% and Perf Year -18.59% indicate the stock is in a broader downtrend, so this is a countertrend swing not a trend-follow
- Near_term_bullish is only 0.4 (soft) — the setup requires the pullback to hold; if 1h continues lower without a reversal candle, the entry is early
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | UBER | BUY NOW | 8.2 | Only name with mid-range position AND positive fc across every short/mid/long on 1h/4h/1d. |
| 2 | ORCL | BUY NOW | 7.6 | Elite fundamentals (PEG 0.5, ROE 54) plus 1d fc_long +28.6, but 1h fc_short -6.38 makes it a scale-in. |
| 3 | CCI | BUY PULLBACK | 6.9 | Cleanest multi-TF fc alignment among non-miners; fundamental score 4.25 is the tax. |
| 4 | ORLA | BUY PULLBACK | 6.7 | 1d fc +38/+36/+34 is huge post-Equinox merger, but 1h at 100% of range — wait for cool-off. |
| 5 | SBAC | BUY PULLBACK | 6.2 | 1wk fc_long +13.26 with FFO beat, but near_term_bullish only 0.2 and JPM lowered PT to $220. |
| 6 | MCD | BUY PULLBACK | 6.0 | Best pullback profile (8.88% of 1wk range) with 1d fc +3.97/+10.39/+10.86, but 'US sales slowed / expansion delayed' news is a real drag. |
| 7 | IONQ | BUY PULLBACK | 5.9 | Near_term_bullish 1.0 with 1d fc_mid +21.47, but pre-earnings and operMargin -420% — pure narrative trade. |
| 8 | KGC | BUY PULLBACK | 5.7 | Q2 beat and Lobo Marte growth story with 4h fc_long +19.83, but 1h/4h/1d all near 90–100% of range. |
| 9 | AEM | BUY PULLBACK | 5.5 | 20–30% production growth story, JPM raised PT, but pinned at 98–100% of range on 1h/4h/1d. |
| 10 | RGLD | WAIT | 5.3 | All 1h/4h/1d at 100% of range with 1h/1d fc_long negative — needs a pullback. |
| 11 | WPM | WAIT | 5.2 | Premium streamer (profit margin 65.5) but 97–100% of range and 1wk fc_long -47.65. |
| 12 | GFI | WAIT | 5.1 | PT cut 14.4% and pinned at top of range on 1h/4h/1d; 1wk fc catastrophic (-48 long). |
| 13 | B | WAIT | 5.0 | Gold spin-off catalyst but 100% of range on 1h/4h/1d and bullish_prob 0. |
| 14 | PAAS | WAIT | 4.9 | Silver leverage story but 91/81/100% of range and 1wk fc_long -63.25. |
| 15 | NEM | WAIT | 4.9 | Bullish_prob 0 with 1d fc_long -11.25 despite great margins; range-pinned at 98–100%. |
| 16 | CDE | WAIT | 4.8 | Sales YoY 116.6% is elite but at 100% of daily range pre-earnings — buy the reaction. |
| 17 | AU | WAIT | 4.7 | Cheap (PE 10.9) but pinned at 98–100% with 1d fc_long -12.13. |
| 18 | KR | BUY PULLBACK | 4.6 | Defensive with bullish_prob 1 and exp_return 15.4%, but thin margins (0.7%) and no TF confirmation shown. |
| 19 | ERO | WAIT | 4.2 | Copper narrative attractive but at 100% of 4h/1d range and RSI 61.5 stretched. |
| 20 | VRT | WAIT | 4.0 | Mid-range positioning but 4h/1d/1wk forecasts sharply deteriorating (-71.8 fc_mid on 1wk). |
| 21 | TEAM | AVOID | 3.4 | RSI 64.8 with 1h fc_short -23.5% and 4h fc_short -31.6% — imminent reversal signal. |
| 22 | MRVL | AVOID | 3.2 | Up 157% YTD, PE 74.7; 4h fc_long -51.3% — profit-taking setup, not a buy. |
| 23 | CLS | AVOID | 3.1 | 1d fc_short/mid/long all -8 to -30%; bullish_prob 0 despite recent rally. |
| 24 | CRDO | AVOID | 3.0 | Insider CTO sold $6.1M; 1d fc_mid -44.5%, PE 95.9 — deteriorating on all fronts. |
| 25 | JBL | AVOID | 3.0 | 1d fc -18/-28/-27 with 1wk fc_short -63.9%; profit margin 2.57% doesn't justify PE 42. |
| 26 | AEIS | AVOID | 2.9 | 1d fc -17/-29/-33 and 1wk fc_long -69.2%; PE 63.7 with Perf Year +143% — reversion setup. |
| 27 | FIX | AVOID | 2.8 | Perf Year +154% with 1wk fc_long -87.1%; peer EME just fell 12.4% — sector cracks. |
| 28 | DY | AVOID | 2.8 | Bullish_prob 0 and near_term_bullish 0 with 1d fc_mid -19.9%. |
| 29 | ADEA | AVOID | 2.6 | Perf Year +152%, expected_return -50%, bullish_prob 0 — extended and rolling over. |
| 30 | FLEX | AVOID | 2.5 | Perf Year +149% with expected_return -63.9%; PE 48.9 on 3.3% margins. |
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