Today’s AI Top Pick: BILI
7/17/2026 · Turnaround Undervalued Accumilate screen · a free sample of K3vl4r’s AI-curated picks.
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BILI is the cleanest 'fundamentals + tape + catalyst' setup in the pool right now. On fundamentals it clears every screen leg with room to spare — fwdPe 14.42, PEG 0.57, EPS growth next year +26.23%, analyst recom 1.3 (near strong-buy), 50.9% target upside, and a fundamental_score of 8. Unlike ORCL, MNDY, or FUTU (which have real overhangs), BILI just announced a $300M share buyback on 6/24, which is a hard positive catalyst that directly supports a turnaround thesis. The multi-timeframe tape confirms rather than contradicts. 4h forecasts +10.45/+26.82/+32.23%, daily +30.34/+46.60/+38.04%, and even 1wk turns positive by mid horizon (+7.2%). Kronos bullish_prob is 1.0 and near_term_bullish is a perfect 1.0 — the only candidate in the top tier where all four signals align without a landmine attached. Only 1h is slightly soft (fc_short -1.73%), which is exactly what you want: a small pullback into a broader uptrend, not a top-of-range chase. Positioning is favorable: pos_in_21bar_range_pct is 60.5% on the daily and just 11.6% on the weekly, with a -6.32% drawdown from the 21-bar high. That is meaningfully off the top (unlike GDDY at 96–100%, KKR at 92–95%, NAGE at 100%, or TPG at 95%), so you're not paying up. RSI 60.9 is trending but not overbought. The reason not to wait: the daily/4h forecasts inflect this week, the buyback is active, and the 21-bar drawdown is modest — a pullback deeper than -8% would likely break the 1h forecast structure. Today's mild 1h softness is the entry, not a warning.

- China ADR political/regulatory tape can gap without warning; 6.04% short float indicates skeptic presence
- 1wk recent_21bar is −36.2% — the longer trend is still broken, so a failed bounce sends it back to the weekly low
- PE 43.4 and profitMargin only 4.58% mean the thesis relies on the +26% EPS growth arriving on schedule
- 1h fc_short is negative (−1.73%) and fc_mid barely positive (−0.31%) — near-term chop is likely before the daily forecast plays out
- salesYoY is only 11.2% — modest growth means any earnings miss disproportionately punishes the stock
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | BILI | BUY NOW | 8.4 | Full multi-TF alignment, mid-range position, $300M buyback catalyst, fundamental_score 8, no landmines. |
| 2 | ORCL | BUY NOW | 7.8 | Deep oversold (RSI 26.9, pos 0%) with +47/+60% daily forecasts and 105% analyst upside — pure mean-reversion setup. |
| 3 | MNDY | BUY NOW | 7.5 | Near_term_bullish 1.0, biggest weekly forecast (+101/+149%), mid-range 1d position. |
| 4 | FUTU | BUY PULLBACK | 7.0 | Great fundamentals (fwdPe 8.4, 41.8% margin) and +55% 1d fc_mid, but active DOJ probe/class actions demand a lower entry. |
| 5 | MLCO | BUY NOW | 6.9 | PEG 0.34, 1d fc_long +30.4%, 1wk fc_long +46.4%, 'worst is behind us' narrative building. |
| 6 | STEP | BUY NOW | 6.7 | Near_term_bullish 1.0, 1d fc_mid +29.2%, 4h all positive; margins ugly but analyst support strong (recom 1.38). |
| 7 | INTR | BUY NOW | 6.5 | fwdPe 5.6, PEG 0.23, +42% 1d fc_mid, +49% 4h fc_long, mid-range position. |
| 8 | NAGE | BUY PULLBACK | 6.3 | FDA Rare Pediatric Designation is a real catalyst and 1d fc +76/+86% mid/long, but pos_in_range 100% on daily — wait for pullback. |
| 9 | PSIX | BUY NOW | 6.2 | Deep oversold (RSI 32, pos 0%), 1d fc_mid +109.8%, ROE 75.7%, but 1wk fc turns negative — trade it, don't marry it. |
| 10 | KKR | BUY PULLBACK | 5.8 | Best in class fundamentals, but pos_in_range 92–95% and forecasts fading — chase risk. |
| 11 | ZG | BUY PULLBACK | 5.6 | 1d fc_long +76.4%, but pos 100% and PE 135 make immediate entry uncomfortable. |
| 12 | Z | BUY PULLBACK | 5.5 | Same setup as ZG with Jefferies Buy reaffirmed; also chasing at pos 100%. |
| 13 | PGY | WAIT | 5.2 | Recom 1.0 and PEG 0.20 look great, but 1wk fc turns sharply negative (−32/−44%) after a +53% run — momentum unwinding. |
| 14 | YMM | WAIT | 5.1 | Pos_in_range 87–94%, hourly forecasts negative — screen winner but poor entry today. |
| 15 | BUR | WAIT | 5.0 | 1d fc +132% is huge but salesYoY −335% and ROE −98% make this a data-quality/turnaround coin flip. |
| 16 | GDDY | BUY PULLBACK | 4.8 | Great ROE 398%, but pos 96–100% across TFs and 1h/4h forecasts negative — chasing. |
| 17 | LX | WAIT | 4.5 | 1d fc +113% and RSI 27, but active credit-market/regulatory concern headlines and −16.5% news drop. |
| 18 | COUR | WAIT | 4.3 | Forecasts too tepid (1d fc_mid +13.7%) to justify the negative margins. |
| 19 | FLUT | WAIT | 4.2 | UK affordability checks + prediction-market scrutiny are active regulatory overhangs; 1h fc negative. |
| 20 | TPG | BUY PULLBACK | 3.9 | PE 202, pos 95% on daily, forecasts mostly flat/negative — no rush. |
| 21 | CWH | WAIT | 3.6 | 1d fc +60% and 1wk +178% are wild, but debtEq 19.03, negative margins, and analyst target cuts make it a lottery ticket. |
| 22 | PAR | WAIT | 3.4 | Pos 100% on 1h and 1h/4h fc deeply negative; 'Sell PAR' article active. |
| 23 | OPFI | WAIT | 3.2 | Kronos prob only 0.8 and 1wk fc_long −26.8% — forecast rolling over. |
| 24 | MVST | AVOID | 2.5 | Active governance investigation and executive departure — landmine regardless of PEG 0.07. |
| 25 | BWIN | AVOID | 2.0 | Bullish_prob 0.2, every timeframe forecast negative (−23 to −29%) despite screen pass — broken setup. |
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