Long-Term Assets to Sell or Short 5-Year Agentic AI Forecast Rankings
Discover long-term assets to sell or short across stocks, crypto, ETFs, commodities, and forex, ranked by the weakest outlooks in iPulse AI's 5-year agentic forecast. The highest-ranked sell and short candidates combine the weakest expected returns with the least attractive return-to-risk profiles, the strongest bearish AI Agent consensus, persistent downside forecast paths, and heavier event-risk pressure. For stocks, low Financial Health scores, weak profitability and cash generation, balance-sheet stress, and demanding valuations can add further evidence to the downside case. Use the table to identify vulnerable assets and potential short opportunities, then inspect the forecast, price target, risk, and supporting metrics behind every rank.
Spotlight
Top 5 Sell / Short AssetsTable Definitions
Definitions for every metric available in the Top Picks table.
Note: To sort the table, click the header of the column you want to sort.
- Asset & Rank
- The ranked asset in this Top Picks view, including name, ticker, market category, and listing context where available.
- Price Data Cutoff Date
- The market price date used for this row. Recomputed ranking snapshots can use newer closes than the original deep-analysis batch.
- iPulse Score
- iPulse AI Consensus Score combines expected return, risk-adjusted return, advisor agreement, and risk-pressure inputs into one ranked signal.
- Consensus Rating
- Consensus Rating is the plain-language buy, hold, or sell interpretation of the iPulse AI consensus score for the selected horizon.
- Expected Return Including Dividends
- Total compounded expected return over the full selected horizon, including reinvested annual net dividends when applicable.
- Annualized Return
- Annualized expected return expressed as a one-year-equivalent rate for the selected forecast horizon.
- Net Dividend Contribution
- Annualized net dividend contribution used by the scoring pipeline, estimated from historical cash-dividend events after tax assumptions and outlier filtering.
- P/E Ratio
- Trailing P/E ratio. For example, 21.7 means the market value is 21.7x trailing earnings.
- Event Risks
- The Event Risks column summarizes clustered consensus frictions and tail risks as Very Low (0-19), Low (20-39), Moderate (40-59), High (60-79), or Very High (80-100). The number is a relative pressure score, not a probability of loss or a complete measure of investment risk.
- Financial Health
- 0-100 equity-only financial quality score using liquidity, leverage safety, profitability, cash generation, and operating trend.
- Annualized Historic Volatility
- Annualized historical price volatility from daily returns, used as a risk denominator in scoring.
- Direction Agreement
- Percentage of advisors whose predicted direction matches the consensus direction.
- Grouped Voices
- Vote-count summary across raw voices, distinct advisors, personas, models, and adjusted grouped votes.
- Advisors
- Number of distinct advisor identities contributing forecasts for this asset in the selected batch, mode, and horizon.
- Forecast Price / Initial Price
- Projected consensus price at the selected horizon, shown against the initial/latest close price used by the snapshot.
| Asset and iPulse Rank | iPulse Score | Consensus Rating | Expected Return Including Dividends | Annualized Return | Net Dividend Contribution | P/E Ratio | Event Risks | Financial Health | Annualized Historic Volatility | Forecast Price and Initial Price |
|---|---|---|---|---|---|---|---|---|---|---|
-237(β²1) | SELL ALL | -14.3%(+/-2.8%) | -3.1% | -- | β | Low (32) | β | +/-8.0% | Β₯140.1(Β₯163.5) | |
-217(β²2) | SELL ALL | -72.8%(+/-9.8%) | -23.2% | -- | β | Very High (100) | 23 | +/-549.0% | $0.67($2.45) | |
-215 | SELL ALL | -4.7%(+/-1.7%) | -1.0% | -- | β | Very Low (0) | β | +/-4.0% | Β₯6.45(Β₯6.77) | |
-192(βΌ1) | PARTIAL SELL | -76.2%(+/-11.9%) | -25.2% | -- | β | Very High (98) | 21 | +/-340.0% | $1.89($7.96) | |
-162(βΌ6) | PARTIAL SELL | -5.4%(+/-1.7%) | -1.1% | -- | β | Very Low (0) | β | +/-9.4% | $1.27($1.34) | |
-123(βΌ7) | PARTIAL SELL | -1.1%(+/-2.2%) | -0.2% | -- | β | Very Low (1) | β | +/-8.7% | $1.14($1.15) | |
-119(β²27) | PARTIAL SELL | -47.1%(+/-7.3%) | -12.1% | -- | β | Very High (97) | 57 | +/-126.0% | $8.56($16.18) | |
-92(β²13) | PARTIAL SELL | -30.6%(+/-9.5%) | -7.1% | -- | β | High (76) | 25 | +/-75.3% | $61.8($89.0) | |
-70(β²8) | PARTIAL SELL | -6.9%(+/-5.2%) | -1.4% | -- | 38.2x | High (73) | 56 | +/-40.2% | $95.6($102.7) | |
-65(β²4) | PARTIAL SELL | -19.3%(+/-6.1%) | -4.3% | 0.9% | >300x | Very High (91) | 58 | +/-65.0% | HK$105.7(HK$136.8) | |
-60(β²3) | PARTIAL SELL | -0.7%(+/-3.3%) | -0.1% | 0.3% | 40.7x | Moderate (54) | 53 | +/-37.4% | $329.9($338.2) | |
-58(β²16) | PARTIAL SELL | -19.4%(+/-8.3%) | -4.3% | -- | β | Very High (91) | 50 | +/-95.2% | $52.7($65.4) | |
-45(β²15) | PARTIAL SELL | -27.6%(+/-9.9%) | -6.3% | -- | β | Very High (98) | 40 | +/-161.0% | $1.88($2.59) | |
-29(β²2) | PARTIAL SELL | -15.4%(+/-12.3%) | -3.4% | -- | β | Very High (94) | β | +/-96.4% | $178.6($211.1) | |
-24(β²2) | PARTIAL SELL | -16.4%(+/-12.6%) | -3.6% | -- | β | Very High (98) | 34 | +/-89.6% | $1.59($1.90) |
Top Picks FAQ
How is iPulse AI Score calculated?
iPulse AI Score summarizes the selected horizon by combining expected return, advisor agreement, forecast dispersion, volatility, dividend support, economic guardrails, and a small event-risk pressure adjustment from clustered consensus frictions and tail risks. It is designed for transparent research prioritization, not investment advice.
Read full methodologyWhich assets rank as long-term sell or short candidates?
For the current 5-Year sell / short ranking, the #1 downside candidate is US Dollar / Japanese Yen (USDJPY). Expected return: -14.3% Target price: 140.1
Which assets are the top sell or short candidates?
The current top 5 sell / short candidates are: 1. Euro / US Dollar (EURUSD); 2. Apple Inc. (AAPL); 3. US Dollar / Chinese Yuan (USDCNY); 4. British Pound / US Dollar (GBPUSD); 5. Viking Holdings Ltd.
Which asset shows the weakest projected return?
Lucid Group, Inc. (LCID) currently shows the weakest projected return in this sell / short ranking at -25.20% annualized.
Which asset has the highest dividend yield in this sell / short list?
Hua Hong Semiconductor Ltd (1347) has the highest annual net dividend yield in this sell / short ranking at 0.9%.
Which asset is the least volatile in this sell / short ranking?
US Dollar / Chinese Yuan (USDCNY) is currently the least volatile in this sell / short ranking at +4.03% annualized historical volatility.
Are sell and short rankings updated with new market information?
Yes. Rankings are refreshed as new scoring snapshots become available, so the page reflects the latest consensus state for the selected horizon and market segment.
More Setups
Ranking version and formula details.