Today’s AI Top Pick: ACM

7/7/2026 · Undervalued Emerging screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Undervalued EmergingACMBUY NOW8.6 / 107/7/2026

AECOM (ACM) offers the cleanest confluence of screen-passing fundamentals, multi-timeframe forecast agreement, a real-world positive catalyst, and a non-chasing entry. On the tape, all four timeframes lean bullish with meaningful magnitude: 1h fc_long +23.59%, 4h fc_mid +40.65% / fc_long +50.75%, 1d fc_short +41.83% / fc_mid +38.94% / fc_long +34.89%, and 1wk fc_mid +33.47% / fc_long +41.44%. Near-term bullish score is 1.0 with bullish_prob 1.0. Crucially, this is NOT extended weekly: 1wk pos_in_21bar_range is only 6.35% with a -28.38% drawdown from the 21-bar high, meaning you're buying weakness on the higher timeframe while the daily has already flipped positive — the ideal 'lower TF confirmation of a higher TF reset' setup.

ACM forecast chart
Entry zone
$68.50–$70.00 (buy into any intraday dip below current $69.61; the 4h pos_in_range 66% and 1h dd -0.52% mean a small dip is likely and welcome)
Stop loss
$64.20 (below the recent 1d/4h consolidation floor; roughly -7.8% risk, aligned with the 1wk dd context)
First target
$77–$79 (aligns with 1d fc_short +41.83% partial fill and 4h fc_mid area; ~+12% swing)
Longer target
$92–$98 (1wk fc_mid +33% / fc_long +41% zone; consistent with analyst target upside +44.1%)
Risks
  • Thin operating margin (operMargin 6.71%, profitMargin 3.88%) means any project execution miss on the Thames Water or other UK/EU contracts hits earnings disproportionately.
  • Debt/Equity 1.47 in a still-elevated rate environment — refinancing risk if credit conditions tighten.
  • 1h pos_in_21bar_range 88.5% and 1h fc_short -2.49% suggest a small intraday pullback is likely before the move; buying at $69.61 without patience risks a quick -2% shakeout.
  • salesYoY -0.38% shows the growth story is 'inflecting' rather than 'accelerating' — a weak print on next earnings could stall the forecast setup.
  • Sector correlation risk: if infrastructure/industrials sell off broadly (rates surprise), ACM will move with the group regardless of fundamentals.
Honorable mentions
PDDBest pure-fundamental value in the pool (fwdPe 6.81, PEG 0.60, profitMargin 21.86%, ROE 25.52%) with near_term_bullish 1.0 and all four TF forecasts positive (1d +15.12/+21.43/+26.19, 1wk +11.3/+31.72/+16.81). Held back to #2 only because 1h/4h/1d pos_in_range is 82–88% — better as a BUY_PULLBACK than a BUY_NOW.
TRMBClean multi-TF alignment (near_term_bullish 1.0, 1d fc_short +27.35 / fc_mid +36.29, 1wk fc_mid +35.1 / fc_long +31.48), moderate positioning (1d 67.67%), positive product-launch news flow. fwdPe 12.87 and PEG 0.85 fit the screen, targetUpsidePct +60.2%.
Full ranking (30)
#SymbolVerdictScoreRead
1ACMBUY NOW8.6All-TF bullish forecasts (1d +41.83%, 1wk +33-41%), oversold weekly (pos 6.35%), fresh Thames Water contract catalyst, fwdPe 10.36.
2PDDBUY NOW8.3Best valuation in pool (fwdPe 6.81, PEG 0.60) with 1.0 near-term bullish and all-TF positive forecasts, though slightly extended intraday.
3TRMBBUY NOW8.0Near-term bullish 1.0 across all four TFs, 1d fc_mid +36.29, targetUpside +60.2%, moderate positioning.
4FISBUY PULLBACK7.71wk fc_mid +81.99 is exceptional and fwdPe 6.03 is dirt cheap, but 1h/4h/1d all 91–94% of range — wait for a dip.
5TBUY NOW7.5RSI 28.55, deeply oversold weekly (pos 1.41%), 1d fc_short +20.22, dividend name with SeekingAlpha 'Strong Buy Setup' post.
6ADSKBUY PULLBACK7.4Full multi-TF alignment and near_term 1.0, but 1h/4h at 98–100% of range — chase risk high; SeekingAlpha upgrade at 52-wk lows narrative intact.
7ORCLBUY NOW7.3RSI 30.05, 1d pos_in_range 6.74%, 1d fc_short +21.4, analyst upgrades post -35% June drop.
8EXLSBUY NOW7.21d fc_short +37.27 / fc_long +69.21, near_term 0.8, $310M AI training bet is a real catalyst, fwdPe 10.81.
9ADMABUY PULLBACK7.1PEG 0.33, profitMargin 32.43%, targetUpside +93.8%, but 1h/4h/1d all at 100% of range — do not chase.
10MNSOBUY NOW7.0PEG 0.16, salesYoY +30.5%, 1wk deeply oversold (pos 5.69%), 1d fc_short +33.45 / fc_mid +61.25.
11ZTSBUY NOW6.91wk fc_mid +98.81 / fc_long +113.92, deeply washed out (1wk pos 2.13%), quality franchise 'finally buyable' per SA; PEG 1.35 the only ding.
12MORNBUY PULLBACK6.61wk fc_mid +64.84 / fc_long +67.71 and near_term 0.8, but 4h pos 94.4% intraday — wait for a dip; own AI-warning headline is ironic.
13YMMBUY PULLBACK6.5JPM upgrade + growth story intact, but 4h/1d pos ~81% and 1h fc_mid slightly negative -2.91%.
14BABAWAIT6.4RSI 28.56 and huge fc_mid on 4h/1d, but same-day Reuters headline on Beijing curbing overseas AI access is a live regulatory landmine.
15ADBEBUY PULLBACK6.3fwdPe 7.94, PEG 0.55, 62.95% ROE — value is compelling, but forecast tape here is muted vs. peers.
16BZBUY PULLBACK6.2profitMargin 40.23%, 4h/1d strong forecasts, but 1h/4h at 100% of range and 1h fc_short -4.25% — pullback needed.
17PFSIBUY NOW6.0fwdPe 5.99, PEG 0.32, 1d fc_short +12.45 / fc_mid +20.88, Piper reiterated Overweight (albeit with lower PT).
18WAYBUY PULLBACK5.9KeyBanc positive framing and 1d fc_long +36.67, but pe 35.72 and 1h/4h/1d all at 100% of range — extended.
19BILIBUY PULLBACK5.81wk fc_mid +109 is huge and $300M buyback announced, but pe 40.89 and bullish_prob only 0.6 — not conviction #1.
20VNTBUY PULLBACK5.7fwdPe 7.83 and ROE 35.04%, but 'Reasons VNT is Risky' article + 1wk dd -28.92% suggests wait for base.
21GDDYWAIT5.6Multi-TF forecasts constructive but India fake-site crackdown headline is a real overhang; Debt/Eq 16.22 is extreme.
22DCBOWAIT5.51wk fc_mid +109.88 looks like an outlier vs. mixed 1h/4h/1d forecasts; near_term_bullish only 0.4.
23NAGEAVOID5.41wk forecasts all negative (-10.08/-27.19/-27.54) and 1h/4h/1d at 91–100% of range — daily forecast spike looks like a bull trap.
24GAPBUY PULLBACK5.3fwdPe 7.46 but 1wk fc_mid ~flat and MS reinstated only Equal-Weight; near_term 0.6.
25INTRBUY PULLBACK5.2PEG 0.23 and salesYoY +50%, but limited tape signal in the data provided and DebtEq 3.10.
26FUTUAVOID5.0Great fundamentals (profitMargin 41.84%) but 2026-07-03 DOJ probe + class actions headline is a hard pass for a new long today.
27HLLYWAIT4.81h/4h negative recent + 1h at 17.5% of range with negative fc_short; ROE 5.36% weak; wait for base.
28FINVWAIT4.7Cheap on paper (fwdPe 3.4) but 1h/4h forecasts turn negative on longer horizon (1h -0.45, 4h -5.77) and near_term only 0.2.
29MLCOAVOID4.5MS downgraded to Equal-Weight with $6 PT on 6/22; ROE null; no fundamental floor to catch the falling knife.
30CRKAVOID4.2Two Sell/EW rating reiterations with PT cuts (GS $10, MS $16), recom 2.88 (worst in pool), shortFloat 30.49%.

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