Quantustik runs a quantum-mechanics-based forecast model on Casey's General Stores, Inc. (CASY). Over the next 3 months the model's central path projects a +1.8% rise in price. The Feynman path-integral simulation puts the probability of an upward move over that window at 59%.
The 90% confidence band for the 3-month forecast spans 651.90–1030.16, meaning the model expects the realized price to land in that range roughly 9 times out of 10 if its historical calibration holds. These are backtested coverage figures on the committed TOP-20 walk-forward window, not a promise about this specific forecast — see the calibration research page for the full per-ticker breakdown.
Verify the model's real-world performance on our public forecast track record and confidence-band calibration pages.
Looking further out, the same model projects a +2.2% move over 6 months for CASY.
CASY is classified in the Consumer Cyclical sector. Forecast last generated: 2026-07-20T19:19:56.653647+00:00.
Want to check this verdict rather than take it on faith? Every CASY indicator we compute, in plain English — what each one reads, and exactly how much it moved the score.
Sector: Consumer Cyclical sector overview.
Related Consumer Cyclical tickers: ABNB, AMCR, AMZN, APTV, AVY, AZO.
Key terms used on this page: What is a swing signal in stock trading?, What is a CI90 confidence interval in a stock forecast?, What is the chance of a gain in a stock forecast?, What is a Feynman path integral in stock forecasting?, What is a GICS sector?, What is expected growth / target price in a stock forecast?, What is a target price in a stock forecast?, What is the per-ticker price-range check (CI90 coverage)?, What is MAPE in a stock forecast accuracy check?, What is beta (β) in stock investing?, What is daily volatility (σ) in a stock forecast?, What is the ML Buy Probability?, What is model confidence in a stock signal?, What is backtest precision (BUY signals)?, What is backtest win rate?, What is backtest average return?, What is Kelly size / recommended position size?, What is risk per trade?, What are stop-loss and take-profit levels?, What is the risk/reward ratio on a stock trade?, What is the ML downside probability?, What is the risk floor in a stock forecast?, What are Q60 / Q75 / Q90 forecast percentiles in a stock forecast?, What is a trailing stop?, What is the invalidation level on a trade plan?, What is Google search interest for a stock?, What is the Social Hype Score for a stock?, What is StockTwits sentiment?, What is analyst rating consensus, and how reliable is it?, What is analyst target upside?, What does Upgrades (30d) mean for a stock?, What is analyst coverage?, What is the average analyst price target?, What is the analyst buy-ratings count?, What is the analyst hold-ratings count?, What is the analyst sell-ratings count?, What is the News Sentiment score for a stock?, What is the put/call ratio?, What is Smart Money Flow in a stock forecast?, What is unusual options activity?, What is short percent of float?, What is the P/E ratio (price-to-earnings)?, What are the Quality, Growth and Value scores?, What is EPS growth (year-over-year)?, What is the debt-to-equity ratio?, What is profit margin?, What is return on equity (ROE)?, What is dividend yield?, What is the dividend payout ratio?, What is the 5-year dividend CAGR?, What is dividend payout frequency?, What is CI90 coverage (band calibration)?, What is max drawdown?, What is the Sharpe ratio (90-day estimate)?, What is the 13F whale amount?, What is an activist investor (SC 13D/13G) alert?.
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Educational research; not investment advice.