Today’s AI Top Pick: ALNY
8/11/2026 · Recently Alerted Turnaround screen · a free sample of K3vl4r’s AI-curated picks.
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Alnylam Pharmaceuticals is the cleanest turnaround setup in the pool right now. The screen is passed with authority: PEG 0.29, salesYoY +95.14%, epsNextY +48.82%, ROE 100.7%, profitMargin 16.82%, fwdPe 21.57, recom 1.6, and targetUpsidePct +74.7% — this is genuinely underpriced growth, not just a beaten-down chart. The stock is down 50.57% YoY and 45.43% YTD, RSI 33.59, so we are buying deep drawdown, not chasing. The tape confirms. Near_term_bullish is 1.0 (highest in the pool alongside NRG/PFSI/AMSC/STEP/TIGR/CELH/BROS/KNF/FBRT), bullish_prob 1.0. 4h forecasts: short +43.04%, mid +66.93%, long +74.99%. 1d forecasts: short +14.73%, mid +58.62%, long +55.58%. The weekly is still healing (fc_long -2.29%) but shallowly negative rather than collapsing. Crucially, position_in_21bar_range is only 2.58% (4h) and 16.23% (1d) with drawdowns of -33.82% and -24.09% — there is real room to run and we are not buying a blow-off top. This is the exact opposite of FUTU/PSIX/SE which are all pinned at 90-100% of range. News is benign-to-supportive: implied volatility surging into a catalyst window, no guidance cut, no legal overhang, no dilution rumor, no short-seller report. Compare to APP (post-earnings -17% is a knife-catch), SRAD (UBS downgrade + cut 2026 outlook), PFSI (target cut 13.6%), KNF (profit miss + JPM cut), CELH (leadership shake-up + Rockstar competitor), and NRG (shares crashing). ALNY is the only high-conviction fundamentally-cheap, chart-oversold, forecast-strongly-positive name without a fresh headline landmine. Why today rather than wait: RSI 33.59 with position_in_range near single digits and near_term_bullish=1.0 is a textbook mean-reversion setup — waiting for confirmation typically costs 5-10% given the 43-67% forecasted upside on 4h/1d. Scale in now.

- Weekly timeframe still shows fc_long -2.29% and dd_from_21bar_high -32.03% — the bigger trend has not confirmed reversal yet
- Implied volatility surging (Aug 6 headline) signals a binary catalyst; a bad clinical or trial readout could gap it -15%+
- Debt/equity 2.21 and profitMargin only 16.82% mean any revenue deceleration from the +95% salesYoY base gets punished hard
- instOwn 99% leaves little marginal buyer left; further institutional de-risking would overwhelm retail flows
- PE 36.63 is not screaming cheap on trailing earnings — the thesis relies on the +48.82% forward EPS actually landing
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | ALNY | BUY NOW | 8.7 | Deep drawdown, low position in range, near_term_bullish 1.0, 4h/1d forecasts +55-75%, clean news — the pool's best risk/reward. |
| 2 | APP | BUY NOW | 8.0 | RSI 31 with 4h fc +68% and 1d fc +43% is powerful, but chasing a fresh -17% post-earnings gap adds knife-catch risk. |
| 3 | TIGR | BUY NOW | 7.7 | Rare full multi-TF agreement (4h/1d/1wk all long-fc positive) with fwdPe 6.27; slightly extended in range and mild SA downgrade. |
| 4 | PFSI | BUY NOW | 7.5 | near_term 1.0, position <6% of range, 4h fc_long +65%, PEG 0.55; target cut and 'risky' headline are minor cautions. |
| 5 | BROS | BUY NOW | 7.3 | RSI 26.27, positions 1-2% of range, near_term 1.0; forecasts modest at +8-19% but news constructive. |
| 6 | MIR | BUY NOW | 7.2 | 4h fc_long +49.79%, 1d fc_long +39.52%, dd -17%, position 3.7%; PE 170 is a caution but analysts still Buy. |
| 7 | AMSC | BUY PULLBACK | 7.0 | Roth reiterates Buy, epsNextY +46.7%, but weekly fc_long -46.67% raises trend concern. |
| 8 | INTR | BUY NOW | 7.0 | PEG 0.21, fwdPe 5.35, 4h fc_long +69.15%, targetUpside 76.1%; positions low; small-cap ADR risk. |
| 9 | FICO | BUY PULLBACK | 6.9 | Barclays Overweight but PT cut; 4h/1d fc_long +33-40%; weekly still mixed; RSI 38. |
| 10 | NRG | BUY PULLBACK | 6.8 | 1h/4h/1d forecasts positive but 'shares crashing this week' headline and weekly fc_long -33% flag caution. |
| 11 | CALX | BUY PULLBACK | 6.7 | Recom 1.22, 4h fc_long +49%, but position already 61% of range. |
| 12 | FUTU | BUY PULLBACK | 6.5 | Strong fundamentals and forecasts but position 92% of 4h range — chase risk; wait for pullback. |
| 13 | MLCO | BUY PULLBACK | 6.4 | 1wk fc_long +46.4% and PEG 0.35 attractive; 4h position 92% extended. |
| 14 | PSIX | BUY PULLBACK | 6.3 | Big short-term forecasts but RSI 66.94, position 100% of 1d range, and weekly fc_long -62.84% is a red flag. |
| 15 | KVYO | BUY PULLBACK | 6.2 | Citi Buy $36 PT, 1wk fc_long +41.83%, but PE 842 and 24% short float raise risk. |
| 16 | TMUS | BUY PULLBACK | 6.1 | Quality name with modest 1d fc_long +14.14%; forecasts don't excite versus other candidates. |
| 17 | STEP | BUY PULLBACK | 6.0 | Positive Q2 momentum, near_term 1.0, but negative roe -750 and weekly fc mostly negative. |
| 18 | WING | BUY PULLBACK | 5.9 | RSI 30.12 oversold with big 1d fc_long +88.89%; positions ~1-4% but 17% short float and fading traffic concerns. |
| 19 | FBRT | BUY PULLBACK | 5.8 | Steady REIT with 4h fc_long +28.58%; magnitudes modest and 1wk fc small. |
| 20 | RBBN | BUY PULLBACK | 5.7 | Recom 1.0 and epsNextY +212%, 1wk fc_long +63%; profitMargin 1.96 and micro-cap. |
| 21 | VST | WAIT | 5.6 | Near-term forecasts fine but 1wk fc_long -59.99% is a huge red flag. |
| 22 | ORCL | BUY PULLBACK | 5.4 | Pinned at 100% of 1h/4h/1d range with 1wk fc_long -15.55%; wait for a dip. |
| 23 | KNF | WAIT | 5.2 | JPM Neutral + PT cut; profit miss last quarter; forecasts modest and weekly negative long. |
| 24 | MNDY | WAIT | 5.0 | 1h/4h forecasts flat-to-negative into earnings tomorrow; binary event risk. |
| 25 | SRAD | WAIT | 4.9 | UBS downgrade + cut 2026 outlook after Q2 loss undercuts the +47-56% 4h fc. |
| 26 | CELH | WAIT | 4.8 | Leadership changes plus Rockstar founder targeting them is a real narrative overhang. |
| 27 | JBI | WAIT | 4.7 | Big 1wk fc_long +129% but micro-cap, salesYoY -2.54, and pre-earnings caution. |
| 28 | SE | AVOID | 4.3 | All timeframes forecast negative (fc_long -9% to -13%) and pinned at 100% of range — broken setup. |
| 29 | BESS | AVOID | 4.0 | $22M mkt cap, negative roe -30.72, no revenue data, -70% YTD — too speculative for a single-name bet. |
| 30 | SDA | AVOID | 3.5 | $82M mkt cap, PE 444, -60% YTD, instOwn 0.28% — micro-cap with no institutional bid. |
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