Today’s AI Top Pick: VEEV

6/18/2026 · Forecast Pure screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Forecast PureVEEVBUY NOW8.6 / 106/18/2026

Veeva Systems (VEEV) is the cleanest high-conviction setup in this pool: it pairs the highest fundamental score among bullish-probability names (6.75) with a Kronos signal that is both directionally aligned AND not yet stretched. The stock sits at the very bottom of its 21-bar ranges across multiple timeframes — pos_in_21bar_range_pct of 0.78 (1h), 0 (4h), 0 (1d), and 18.29 (1wk) — with drawdowns of -13.36% (4h) and -17.92% (1d) from recent highs. This is the textbook 'not chasing' entry the lens asks for: deep pullback, exhausted sellers, RSI 39, perfYear -45.07%, perfYtd -30.63%. The setup is loaded with mean-reversion fuel. The Kronos forecasts are large but not the cartoonish outliers that should trigger skepticism. 1d short/mid/long = +37.3% / +38.23% / +49.74%, 1wk = +0.49% / +50.22% / +33.95%, with 4h mid/long +33.26% / +57.92% and 1h gently positive +1.19% short. That is meaningful multi-timeframe agreement — every horizon points up on mid and long, with the only negative being a single -3.31% on 4h short, which is consistent with continued chop near the bottom before the bounce. Bullish_prob is 1.0 and near_term_bullish 0.6 (slightly cautious near-term confirms 'don't expect a vertical Day 1, but mid-horizon is real'). Fundamentals back the model: fwdPE 15.43 (compressed from a former premium SaaS multiple), PEG 1.3, profitMargin 28.37%, operMargin 29.72%, ROE 13.93%, debtEq 0.01 (nearly debt-free), salesYoY +16.25%, recom 1.83 (Buy), and analyst target upside +55.9%. This is a high-quality healthcare-software franchise that has been de-rated, not broken — exactly the kind of name where a Kronos bottoming signal carries asymmetric reward. Why buy TODAY rather than wait: VEEV is already at 0 in its 4h and 1d 21-bar position with a -17.92% daily drawdown — waiting for a 'better pullback' risks missing the reversal the model is calling for in the next 1-day forward arc (+37%). Scaling in here with a tight invalidation level below the recent low gives you the bounce and the larger mid/long thesis without paying up.

VEEV forecast chart
Entry zone
$153.00 – $156.50 (current $154.85, scale on weakness toward 152)
Stop loss
$144.50 (below the 21-bar 1d low / -7% from entry; thesis is invalid if it breaks)
First target
$175 – $180 (recovery of the 4h drawdown level; ~+13-16%)
Longer target
$205 – $215 (aligns with 1d fc_long +49.74% and analyst target upside +55.9%; swing window 6-10 weeks)
Risks
  • Healthcare software re-rating risk: fwdPE 15.43 is already compressed, but a guidance cut on Veeva's life-sciences vertical could push the multiple lower despite the bounce setup.
  • 4h fc_short is -3.31% and 1h is only +1.19% — near-term could chop another 3-5% before mid-horizon bounce begins; tight stops may get hit.
  • Stock has lost 45% over the past year — momentum funds are sellers into any strength, which can cap the first leg of the rally near $170-175.
  • ShortFloat 5.95% is modest but recom 1.83 means consensus is only mildly bullish — a downgrade catalyst could reaccelerate the downtrend.
  • The 1d forecast magnitudes (+37 to +50%) are large; if Kronos is overfit to the deep drawdown, realized move could be half that.
Honorable mentions
BFAMCleanest multi-timeframe alignment in the pool — 1h/4h/1d/1wk all positive on mid AND long horizons (+18/+44/+52/+70 long), near_term_bullish 1.0, 1d pos_in_range 56% (mid range, not chasing), fwdPE 11.15, PEG 0.88, recom 2.2, target upside 42.3%. Slightly less drawdown cushion than VEEV but more bulletproof signal.
CHKPCybersecurity quality name at deep weekly drawdown (-32.93%), pos_in_21bar_range 0 on 1d, all forecast horizons positive (1d +33.82/+48.34/+36.78), strong fundamentals (ROE 38.02, profitMargin 38.37, fwdPE 10.68, debtEq 0.7). near_term_bullish 1.0 makes it tradeable today.
Full ranking (30)
#SymbolVerdictScoreRead
1VEEVBUY NOW8.6Deep drawdown (-17.92% 1d), pos_in_range 0 across multiple TFs, +37/+38/+50 1d forecast, fund_score 6.75 — highest-quality bounce setup in the pool.
2BFAMBUY NOW8.3All four timeframes positive on every horizon, near_term_bullish 1.0, fwdPE 11.15 and PEG 0.88 — cleanest signal coherence.
3CHKPBUY NOW8.0Quality cybersecurity at -33% weekly drawdown, pos 0 on 1d, ROE 38 / profitMargin 38, all-positive Kronos arc.
4PYPLBUY NOW7.8PE 7.89, fwdPE 7.3, ROE 25; 1d fc +36.85/+37.99/+34.64; pos_in_range 0 on 1h — cheap with model lift.
5ABTBUY NOW7.6Defensive blue-chip with recom 1.55, target +30.5%, 1d fc +29.4 short / +30.6 mid; modest drawdown but mid-tf alignment is solid.
6ETH-USDBUY NOW7.41d fc +20/+61/+50, 4h +20/+19, dd -27% on weekly — clean crypto bounce setup with multi-tf agreement.
7DOCSBUY PULLBACK7.2Extreme +117/+130 1d forecast is outlier-flagged, but margins (op 34%, gross 89%) and -44% weekly dd make pullback compelling.
8CMCSABUY NOW7.1RSI 28.85 oversold, pos_in_range 0 on every TF, PE 4.46, ROE 21.49, target upside +45.1% — value + Kronos.
9PPCBUY NOW7.0PE 7.62, ROE 25.9, 1d fc +36.7/+33.5/+33.0, all TFs positive on mid/long; -33% weekly drawdown.
10AVAX-USDBUY NOW6.91wk fc +26/+310/+443 is huge but 1d/4h confirm direction with +6.81/+102/+96 and -25% dd — crypto torque play.
11USNABUY PULLBACK6.6Small-cap with all-positive mid/long forecasts but 1h -0.3 and 1wk fc +169 mid feels stretched; size small.
12BLBUY PULLBACK6.5Massive +98/+146 long forecast and -39% weekly dd, but shortFloat 14.25 and debtEq 2.25 elevate risk.
13NUSBUY PULLBACK6.3RSI 23 capitulation, fwdPE 3.77, but salesYoY -14% and 1wk fc +311 mid is extreme — speculative bounce only.
14TRUPBUY PULLBACK6.1All-positive forecasts with 1d +32.78/+60.89/+29.95, but 1h/4h short are -3.43/-5.04 — wait for first dip.
15COURBUY PULLBACK6.0All near-term tfs positive, fwdPE 10, but unprofitable (-8% margin) and 1wk fc_short -4.82 says no rush.
16CPRTBUY NOW5.9Quality industrial at -25% weekly dd, pos_in_range 0 across 4 tfs, profitMargin 33.48, all forecast horizons positive.
17BNB-USDBUY PULLBACK5.71wk fc_long -35.82 is a yellow flag despite +17.55 1d mid; less coherent than ETH/AVAX.
18FWRGBUY PULLBACK5.41d/4h forecasts +35/+30 positive but 1h -1.46 and 1wk dd -32% — small float restaurant, wait for confirmation.
19MVSTBUY PULLBACK5.2Penny stock with 1d fc +105/+123 — could rip but operMargin 3, profitMargin -11.5, lottery-ticket risk.
20SMRBUY PULLBACK5.01wk fc_short -15.86 and operMargin -3812 makes this purely speculative despite +90 mid 1d forecast.
21DKNGBUY PULLBACK4.9Mixed forecasts (1h pos 0, dd -10%); +11.89/+17.64 1d is moderate; PE 437 and debtEq 3.17 demand patience.
22RBLXWAIT4.61d fc +76 mid is appealing but pos_in_range 83% on 1d (chasing) and ROE -295 / debtEq 4.14 — pass for now.
23SLVAVOID3.5No fundamentals + perfYear +79% already; signal weak in this pool selection.
24CXAVOID3.0Forecast bearish across mid/long (1d -19.99/-28.22, 1wk -45.71/-39.10), bullish_prob 0.
25KNXAVOID2.61d fc -29/-30/-27, 1wk -22/-34/-33; bullish_prob 0 despite +37% 21bar move — top-out signal.
26TSMAVOID2.4Perfect 100 pos_in_range on 1wk + 1d fc -33/-29/-41 + 1wk -28/-62/-50 = textbook top despite great fundamentals.
27AALAVOID2.2RSI 64.82, pos_in_range 92-100 on daily/weekly, all-negative forecasts; classic short setup.
28CASYAVOID2.01d fc -37 short / -29 mid, 1wk -45/-55/-56 from 89% range position — distribution top.
29ATROAVOID1.6Pos_in_range 100% on 4h, RSI 70.8, perfYear +190%, 1wk fc -29/-66/-59 — full reversal signal.
30INODAVOID1.21wk pos_in_range 100, 1d fc -47/-44/-54, 1wk -45/-86/-65; +135% perfYear ready to mean revert.

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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.