Today’s AI Top Pick: APTV

8/11/2026 · Forecast Pure screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Forecast PureAPTVBUY NOW8.4 / 108/11/2026

APTV is the cleanest setup in the pool because every forecast horizon that matters points up and the stock is NOT extended — the exact opposite profile of the many high-scoring names (PSIX, HALO, CORT, STLD, NTRA, RVMD) that are pinned to 99–100% of their 21-bar range with negative weekly forecasts. Kronos shows APTV 1h fc_long +21.82%, 4h fc_short/mid/long +0.92/+28.68/+29.04%, 1d +21.44/+49.4/+43.25%, and 1wk +31.27/+50.21% out to the long horizon. That is genuine 4-timeframe agreement, with near_term_bullish=1.0 and bullish_prob=1.0. Crucially, position_in_21bar_range is only 24.4% (1d) and 0% (1wk) with drawdowns of -16.7% and -27.8% — you are buying the pullback, not chasing a breakout. Fundamentals reinforce the trade rather than fight it. FwdPE 7.59, PS 0.5, sales +5.2% YoY, EPS next Y +13.78%, analyst recom 1.43 (Strong Buy), and targetUpsidePct +34.7%. Fundamental_score is a clean +6.0 with no red-flag margins (opMargin 9.49%, positive profit margin) and manageable D/E 1.07. On news, Evercore ISI just reiterated Outperform on Aug 10 — even with a trimmed PT to $70, that is +40% upside from spot ~$49.5 and no landmine (no guidance cut, no legal issue, no dilution). Compare to the alternatives: PSIX has a monster 4h/1d forecast but the 1wk is -38.99/-62.84% and it sits at 100% of range — chase risk. AHCO has +90–130% forecasts but a fresh 'Stock Plummeted This Week' headline. CORT, HALO, STLD, NTRA, RVMD all show heavy multi-TF forecast declines. The crypto names (ATOM, XRP, MASK) have solid signals but come with a bearish broader BTC tape today ('Bitcoin slips…'). APTV is the only name with (a) forecast up on every timeframe's mid/long window, (b) room to run (bottom quarter of range), (c) supportive fundamentals, and (d) a supportive analyst headline within 24 hours. Today is the right entry rather than waiting because the 1h forecast is already flipping positive (+0.98/+13.74/+21.82) — the shorter horizons often turn last, so the signal transitioning is what you want to be early on. Waiting for a deeper flush risks missing the 1d fc_short +21.44% move; on the other side, the -16.7% 1d drawdown gives you a defined, tight risk anchor.

APTV forecast chart
Entry zone
$48.50–$50.00 (scale in around current $49.50; add on any dip to the $47.5–48 shelf)
Stop loss
$45.50 daily close (below the recent 21-bar low zone; ~8% risk)
First target
$58–60 (retrace the 1d drawdown; aligns with Kronos 1d fc_short +21%)
Longer target
$68–72 (Evercore $70 PT, Kronos 1wk fc_long +50%, targetUpsidePct 34.7%)
Risks
  • Auto/EV cyclicality — sales YoY only +5.2% and profit margin thin at 1.77%; a consumer slowdown hits margins fast
  • Debt/Equity 1.07 and macro tariff headlines (see STLD news) could reprice auto suppliers
  • 1h/4h fc_short are near-zero (+0.98/+0.92%) — the immediate day could chop before the mid-horizon move develops
  • Evercore just LOWERED its PT to $70 — sell-side is trimming expectations even while staying Outperform
  • Stop at $45.50 means ~8% risk; a broader tape flush (BTC/AI-driven risk-off already noted) could gap through it
Honorable mentions
BBWIPE 5.41 / fwdPE 6.8 with multi-TF Kronos alignment (1d fc_mid +11.99, 1wk +41.67/+55.85), position 8–46% of range (not chasing), fresh dividend declaration, profitMargin 10%. Weaker recom (2.6) keeps it at #2.
ATOM-USDBest crypto setup: 4h/1d/1wk forecasts of +20/+52/+82% into mid horizon with 1wk fc_long +166%, bullish_prob=1, near_term_bullish=1. Downgraded vs APTV only because 1h fc turned negative and broader BTC tape is soft today.
Full ranking (30)
#SymbolVerdictScoreRead
1APTVBUY NOW8.4Full 4-TF forecast agreement, bottom quarter of range, fwdPE 7.6, Evercore Outperform — cleanest pullback long in the pool.
2BBWIBUY NOW7.6Cheapest name here (PE 5.4) with 1d/1wk forecasts of +12/+42% and fresh dividend declaration.
3ATOM-USDBUY NOW7.4Multi-TF crypto with 1wk fc_long +166% and bullish_prob=1; only 1h is soft.
4CLNEBUY PULLBACK7.0RSI 27, drawdown -35%, Kronos 1wk +79.6/+104.5% — deep-value bounce trade with -21% profit margin risk.
5AHCOBUY PULLBACK6.8Extreme forecast (+130% 1wk long) and director insider buy, but 'stock plummeted this week' headline demands caution.
6MASK-USDBUY PULLBACK6.6All 4 TFs bullish, but 1wk +346% forecast looks like an outlier — size small.
7XRP-USDBUY NOW6.4Bottom-of-range with 1d fc +15/+42/+51%; 1wk still slightly negative short-window.
8HOPR-USDBUY PULLBACK6.01wk fc +146/+233% from -47% drawdown, but 1d fc_short -19.6% suggests more downside first.
9PNG-USDBUY PULLBACK5.71wk long +89.9% but 1d/1wk short-window still negative; wait for stabilization.
10VIRTUAL-USDBUY NOW5.5Cleaner multi-TF, 1d fc_long +72%, position 21% of range — smaller move but tidy.
11RCBUY PULLBACK5.21wk fc +170% is eye-popping but at 88–100% of range with fundamental_score -4.25.
12DSSWAIT4.4Micro-cap with huge forecast, but 1wk fc_short -86% shows model inconsistency; landmine risk high.
13PSIXWAIT4.2Great 4h/1d forecast but 1wk fc_long -62.8% and pinned at 100% of range — chase risk.
14MLSSWAIT3.61wk fc positive but 4h/1d negative and $42M market cap — liquidity trap.
15STTKAVOID3.0All three TFs forecast down (-13 to -73%); JPM/Leerink coverage doesn't offset signal.
16IMVTAVOID2.6Every TF forecast is deeply negative (-30 to -47%); no reason to fight it.
17HALOAVOID2.4Great fundamentals but 4h/1d/1wk all forecast -30 to -47% at 99%+ of range post-spike.
18CORTAVOID2.21wk fc_long -68.8% after +205% run; PE 272 and pinned at highs.
19JHXAVOID2.2At 100% of range with 4h/1d/1wk forecasts negative despite Barclays upgrade.
20KLICAVOID2.0All TFs forecast down; 1wk fc_long -40.9% overrides the strong fundamental_score.
21STLDAVOID1.91d fc -40/-42/-36%; tariff headline adds macro risk.
22VECOAVOID1.81wk fc_long -41% and PE 135 despite Citi buy; forecast trumps sell-side here.
23AXSMAVOID1.81wk fc_long -64.6%; unprofitable and no positive catalyst offsetting.
24LASRAVOID1.6Q2 mixed, -18% price reaction, 1wk fc_long -64.8% — trend confirmed.
25NTRAAVOID1.61wk fc_long -60% at 98% of range; insider selling news is a tiebreaker against.
26RVMDAVOID1.41wk fc_long -80.4% after +491% run; classic top-tick setup.
27BMOAVOID1.2All TFs forecast -20 to -47%, recom 3.33, targetUpsidePct -6.3%.
28OCCAVOID1.01wk fc_long -74%; targetUpsidePct -28.4%; PE 134 microcap.
29GSATAVOID0.9Q2 EPS/revenue miss + 1wk fc_long -70%; PS 38.7 with negative profit margin.
30HYLNAVOID0.81d fc_long -52%, PS 120, opMargin -1038% — Navy news doesn't fix signal.

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⚠️ This AI-generated analysis is for informational purposes only and is not financial advice. Forecasts and scores are model outputs that can be wrong; markets involve substantial risk of loss. Do your own research.