Today’s AI Top Pick: ADSK

7/6/2026 · Reliable Bullish Consensus + Deep Rotation screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Reliable Bullish Consensus + Deep RotationADSKBUY NOW8.8 / 107/6/2026

Autodesk (ADSK) is the cleanest setup on the board today: the highest fundamental score in the pool (8.0), a genuine 'not-chasing' entry, and a fresh analyst catalyst working in its favor. Fundamentals are elite for a large-cap software name — 85.68% gross margin, 22.48% operating margin, 50.4% ROE, 18.88% sales YoY, recom 1.31 (near strong-buy), fwd P/E just 14.61 and PEG 0.90 despite a $43.8B market cap. The 07/03 SeekingAlpha piece explicitly calls out the 15x P/E at 52-week lows as an upgrade catalyst, and there is zero negative news in the tape — a rare combination in this pool. The multi-timeframe forecast confirms with unusual symmetry. All four timeframes are positive across mid and long horizons: 1h fc_mid +7.14% / fc_long +22.31%, 4h fc_mid +33.94% / fc_long +61.58%, 1d fc_short +25.24% / fc_mid +30.22% / fc_long +35.30%, and 1wk fc_short +6.51% / fc_mid +27.73% / fc_long +22.10%. Bullish probability is 1.0 and near_term_bullish is 1.0. Crucially, we are NOT chasing: the daily sits at only 42% of its 21-bar range with a -11.4% drawdown, and the weekly sits at just 19.6% of range with a -20.7% drawdown. In other words, the hourly/4h is in short-term breakout mode (85%/97% of range) but the daily/weekly still have massive room to run — exactly the profile you want. Compared to the alternatives: PODD has stronger 1d forecasts but got hit with a Class I FDA recall on Omnipod pods (24 serious injuries) — that's a landmine that overrides the tape. ADMA is fundamentally superb but sits at 100% of 1h/4h/1d range with a negative 1h forecast — you'd be chasing a vertical move. FIS is cheap and bullish across all TFs but is stretched at 97% of daily range. CRM has similar structure to ADSK but a lower fundamental score (7.0 vs 8.0) and less positive news flow. Today is the right entry because ADSK combines: (a) a base-building daily/weekly at the low end of range, (b) a confirming hourly breakout suggesting the reversal has begun, (c) forecasts that magnify from short → long horizon (25% → 30% → 35% on the daily), and (d) an explicit fundamental catalyst (15x P/E rating upgrade) working right now. Waiting for a pullback risks giving up the daily breakout that already started.

Entry zone
$204.00–$208.50 (current $207.01; can add on any dip toward the rising 20-day area near $200)
Stop loss
$192.00 (below the 1wk drawdown structure at -20.7% low; ~7% risk)
First target
$228–$232 (aligns with 1d fc_short/fc_mid ~+10-12% blended, and prior consolidation shelf)
Longer target
$255–$268 (1wk fc_mid +27.7% projection and analyst target upside of 53.1% capped conservatively)
Risks
  • Design-SaaS peer comparison risk — 06/25 headline directly pits FIG vs ADSK on AI positioning; a competitor win could re-rate sentiment.
  • YTD performance -29.91% and 1yr -33.14% show the stock has been a falling knife; the 1d -11.4% drawdown could extend if broad software rolls over.
  • Debt/Equity 0.85 with a 30.32 trailing P/E — not cheap on trailing metrics; multiple compression risk if growth decelerates from 18.88% YoY.
  • 1h forecast is slightly negative (-1.09% fc_short) and price is at 85% of the 1h range, so a 2-3% pullback in the next few sessions is plausible before continuation.
  • Institutional ownership 94.97% means limited new-buyer flow; any large-holder rotation could pressure the stock disproportionately.
Honorable mentions
CRMSalesforce mirrors the ADSK setup with slightly weaker fundamentals (score 7.0): 1d at only 42% of range with -11.7% drawdown, 1wk at 29% with -17.3% drawdown, all TFs positive on fc_mid (1d +36.6%, 1wk +45.85%). Fwd P/E 10.63, PEG 0.84, 18.73% profit margin — cheap for a $136B software franchise. Not chasing, high probability (1.0).
FISCheapest name in the pool at fwd P/E 6.10 with 23.35% profit margins and a screaming 1wk fc_mid of +81.34%. All four TFs positive, bullish_prob 1.0. Only knock is short-term extension (97% of 1d range), so you're paying up on the hourly. No adverse news; ideal BUY_PULLBACK.
Full ranking (27)
#SymbolVerdictScoreRead
1ADSKBUY NOW8.8Best fundamentals in pool (8/8), 1d at 42% and 1wk at 20% of range with fully aligned bullish forecasts and a fresh 15x P/E rating-upgrade catalyst.
2CRMBUY NOW8.3Mega-cap software with fwd P/E 10.63, mid-range daily entry (42%), and 1wk fc_mid +45.85% — same structure as ADSK, slightly weaker fundamentals.
3FISBUY PULLBACK8.1Cheapest name (fwd P/E 6.10, PEG 0.65) with all-TF bullish alignment and 1wk fc_mid +81%, but stretched at 97% of daily range — wait for a dip to $40.
4TRMBBUY NOW7.7PEG 0.86, recom 1.31, fresh product launches, 1d fc_mid +32.93%, 1wk pos only 22% — solid multi-TF confirmation.
5ADMABUY PULLBACK7.4Elite fundamentals (PEG 0.32, 32% profit margin) but pinned at 100% of 1h/4h/1d range with negative fc_short on 1h — don't chase.
6PBHBUY NOW7.3Fwd P/E 10.08, positive Ariel/Breathe Right acquisition news, all-TF bullish with 1d fc_short +19.1%; some concern from June disclosure probe headline.
7EFXBUY NOW7.2All-TF bullish, 1wk fc_mid +42.30%, dual analyst reiterations (Mizuho/UBS), 1d at 92% of range but 1wk still at 31% — earnings catalyst ahead.
8CHWYBUY PULLBACK7.1ROE 63.82%, 1wk fc_mid +82.33%, but 4h at 97% of range and news headline about 'questionable fundamentals' warrants patience.
9RMDBUY NOW7.0Zacks upgrade to Buy, 27.44% profit margin, all TFs positive on fc_short/fc_mid, though 1wk fc_long slightly negative (-1.37%) tempers conviction.
10TYLBUY PULLBACK6.9Positive South Carolina AI rollout catalyst, 1d fc_mid +45.49% and 1wk +63.05%, but pinned at 98-99% of 1d/4h range — wait for pullback.
11PCTYBUY PULLBACK6.8Truist reiteration, all TFs green on fc_mid, but at 100% of 1h/4h/1d range and Truist actually lowered the target — extended entry.
12PLNTBUY NOW6.61d fc_short +69% and fc_mid +59%, 1wk pos only 17%, ChartMill flags strong technical setup; -50.72% YTD leaves rebound room.
13GWREBUY PULLBACK6.4Strong cash-flow narrative but 1wk fc_short is -15.86% and 1h fc_mid -13%, signaling short-term digestion after 4h +24.5% move.
14INTRBUY NOW6.3PEG 0.23, EPS Next Y +27.21%, sales YoY +50%, 1d fc_short +32%, RSI 40 shows non-extended entry despite -35% YTD.
15BSYBUY NOW6.2BNP Paribas Outperform at $40 target, 24.67% operating margin, 1wk fc_mid +65.44%, drawdown -20.5% on weekly gives room.
16PNRBUY NOW6.1Fresh Zacks upgrade to Buy, all TFs positive, 1h fc_long +25.55%, 1d fc_short +17.67%, but 1wk fc_mid only +9.64%.
17TSCOBUY PULLBACK5.9Recom 2.0 (weakest of pool), 1wk pos 6.8% with -41.87% drawdown offers deep value, but pet-business weakness headline (07/06) is fresh.
18WKBUY PULLBACK5.8P/E 224, near-term bullish only 0.2, 1h fc_mid -0.13% — momentum names cooling; wait for weekly reset.
19EXEWAIT5.6P/E 6.76 attractive but 1wk fc_mid is -6.60% and fc_short -2.30% — forecast tape is deteriorating despite value screen pass.
20UBERWAIT5.4PEG 3.89, 1wk fc_mid -8.26% and fc_long -8.64%; robotaxi news positive but forecast tape says wait.
21AZOWAIT5.3Defensive quality but 1wk forecasts all negative (fc_short -2.80%, fc_mid -5.48%); no urgency.
22CELHBUY PULLBACK5.2P/E 79, near_term_bullish 0.2, 1h/4h fc_short both negative, short float 20.72% — momentum digestion warranted before entry.
23KRMNWAIT5.1P/E 249, PS 14.3, no bullish_prob available, 1d recent -13.66% with -13.91% drawdown — expensive and choppy.
24ITRIBUY PULLBACK5.0PEG 3.52, all TFs at 100% of range on 4h/1d/1h, 1h and 4h fc_short negative — extended after rebound.
25ARXAVOID4.2Co-founder sold 147,000 shares (07/01 Motley Fool), profit margin -237.9%, ROE -432%, 1d fc_mid -13.23% — insider red flag.
26BOOTAVOID3.81wk forecasts uniformly negative (fc_short -14.98%, fc_mid -18.31%, fc_long -10.32%) — screen pass but tape says trend is broken.
27PODDAVOID3.5Class I FDA recall on Omnipod pods with 24 reported serious injuries — regulatory landmine overrides otherwise-strong 1d fc_short +48%.

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