Today’s AI Top Pick: BR

8/6/2026 · AI Conviction screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · AI ConvictionBRBUY NOW8.6 / 108/6/2026

Broadridge (BR) is the cleanest multi-timeframe setup in this pool. Every horizon points up: 4h forecasts are +9.9%/+11.86%/+19.61%, 1d forecasts are +3.10%/+17.59%/+27.52%, and even the 1wk tape is positive at +0.70%/+2.55%/+8.84%. That's rare — most names in this pool have at least one timeframe with a negative mid or long forecast (see STT, COF, ASML, URI which are all showing double-digit negative forecasts). Bullish probability is 1.0 and near-term bullish is 1.0 — the model fully agrees with the analyst ACCUMULATE tag. Entry quality is good, not chase-y. Position in the 21-bar range is 82% (4h), 82% (1d), and 74% (1wk) — elevated but not pinned to highs like URI/STT/COF at 100%. Drawdown from local highs is only -2.62% to -5.30%, which is a healthy consolidation rather than a broken chart. The weekly bar is actually down -5.3% recently, so we're buying a name that pulled back on a weekly basis but is coiling for a resumption higher — a much better setup than KKR (at 100% of weekly range) or AWI (RSI 74.5, 100% of range). Fundamentals and news reinforce. PE 17.49, fwdPe 14.13, ROE 42.32%, profit margin 15%, and a strong recent Q4 print with 'record sales' plus an RBC price target raise to $225 on Aug 5 — a fresh, dated positive catalyst. Analyst recom 1.83, targetUpsidePct 26%. No landmines in headlines. Fundamental score 7 is one of the higher in the pool. Why today vs. waiting: the confluence of (a) all four forecast horizons positive, (b) a fresh sell-side price-target raise post-earnings, (c) still ~3-5% off local highs, and (d) full model conviction (prob 1.0) is the tightest combination available. Waiting risks missing the +17.6% 1d mid and +27.5% 1d long forecast trajectory. Names with bigger long-forecast magnitudes (BSX +70%, CTSH +33%) either have negative 1h near-term (BSX) or are overbought (CTSH RSI 69.4) — BR has neither.

BR forecast chart
Entry zone
$162.50 - $164.50 (current $164; scale in on any dip to prior 4h consolidation)
Stop loss
$154.00 (below the 1wk -5.3% pullback low and roughly -6% from entry)
First target
$180 (+10%, aligns with 4h long forecast +19.6% off the mid-range and RBC $225 street target trajectory)
Longer target
$205 - $210 (1d long forecast +27.5% and consistent with the 1wk trend continuation)
Risks
  • Position in range is already 82% on daily/4h — a broad market pullback could see BR retest $155 (a -5.5% drawdown) before any leg higher
  • 1wk recent_21bar_pct is -5.3% — the weekly trend is not yet confirmed re-accelerating; if the next weekly close is red, the thesis weakens
  • PEG of 1.46 is elevated vs. peers in the pool (CTSH 0.91, KKR 0.71) — limited multiple-expansion runway if growth disappoints
  • Debt/Equity 1.21 is meaningful; rate-sensitive if macro turns hawkish
  • perfYear is -38.41% — this is a rebound trade, not an established uptrend, so a failed breakout could see a fast unwind
Honorable mentions
BSXMassive forecast magnitude (1d long +70.81%, 4h long +35.48%) with bullish_prob 1.0 and only 18.5% weekly range position (deep -29.86% drawdown = classic 'not chasing'). Held back to #2 only because the 1h shows -3.46%/-2.75%/-2.86% suggesting an immediate wobble; a scale-in on -1-2% is arguably better than market-order today.
AOSBest 'washed out' entry in the pool — position_in_21bar_range is ~0% on 4h/1d and 5.6% on 1wk with drawdowns of -11% to -13.7%, and every forecast horizon is +11% to +19% with bullish_prob 0.8. Only reason it's #3: fundamental_score just 3, PEG 3.23, and Oppenheimer flagged near-term earnings risk on Aug 3.
Full ranking (30)
#SymbolVerdictScoreRead
1BRBUY NOW8.6All 4 TFs bullish (1d +17.6% mid), prob 1.0, fresh RBC PT raise to $225 post record Q4 — cleanest setup in pool.
2BSXBUY NOW8.3Massive 1d long forecast +70.8%, weekly at just 18% of range after -29.9% drawdown, prob 1.0 — huge asymmetric setup.
3AOSBUY NOW7.6All TFs at 0-5% of range with +12-19% forecasts across horizons — oversold-reversal candidate with prob 0.8.
4CTSHBUY NOW7.4Prob 1.0, all TFs bullish with 4h/1d long +33.7%/+22.2%, cheap at fwdPe 8.83; only concern is RSI 69.4 and pos_in_range 84%.
5BZBUY NOW7.0Prob 1.0, 1d forecasts +3.5/+9.1/+9.1% with pos_in_range only 9-73% and fundamental_score 8 (PEG 0.97, ROE 18.5).
6BWXTBUY NOW6.7Prob 1.0, near-term 0.8, 1d mid/long +9.8/+8.6%, weekly at 0% of range with fresh guidance hike; weekly long forecast is the drag.
7KKRBUY PULLBACK5.6Fundamentals score 8 and 1d up +10.4%, but at 100% of weekly range and 1h/4h/1wk mid forecasts negative — wait for a dip.
8TMBUY PULLBACK5.5Prob 1.0, 4h/1d all positive, fwdPe 8.61 + ¥1T buyback news; weekly still shows -8.28% pullback so wait for base.
9WCNWAIT4.7Prob 1.0 but forecast magnitudes tiny (+0.6-3.8%); LA County lawsuit for $825M is a fresh overhang.
10RDDTBUY PULLBACK4.51d long +20% and 4h long +24% with -24.88% drawdown, but weekly long forecast -27% conflicts hard.
11HCIWAIT4.4Fundamentals stellar (PE 7.83, ROE 37.6) but forecasts turn negative across all horizons mid/long; earnings pending.
12AJGWAIT4.2Fresh Citi PT raise to $285 and Apollo acquisition, but 4h short -16% and 1d/1wk forecasts mildly negative.
13GEHCWAIT4.14h all positive but 1d mid/long tepid (+0.3/+2.8%); no strong edge here.
14YUMCWAIT4.0Near-term bullish 1.0 but 1d/1wk mid-long forecasts all negative; RSI 67 already stretched.
15DLOAVOID3.6All forecast horizons negative (-13% to -17% mid/long) despite goldilocks fundamentals — tape says no.
16AVYWAIT3.5At 100% of range on 1h/1d/1wk with all forecasts -1% to -10% — classic 'don't chase the top'.
17CVLTWAIT3.3Weekly forecast long -16.8% and D/E 17.6 is a red flag; earnings-driven options spike noise.
18WMWAIT3.2UBS PT raise to $270 is nice but forecasts flat-to-negative across all horizons and dd from 1d high -6.96%.
19ASMLAVOID3.0Bullish_prob 0, 1d forecasts -32/-39/-30%, weekly -28/-49/-58% — tape strongly disagrees with fundamentals.
20AGYSAVOID2.9All 4h/1d/1wk mid-long forecasts negative (-7% to -21%), fundamental_score 6 not enough to save it.
21GOOGAVOID2.71d forecasts -9.5/-19/-22.9% and 1wk long -54%; epsNextY -25.88% and no positive tape signal.
22CRDOAVOID2.51d forecasts -34/-42/-39%, 1wk long -72% after +114% 21-bar run — textbook 'sell the top'.
23COFAVOID2.4At 100% of 1d/1wk range with all forecasts negative — has already run 102% and forecasts say pause.
24CARTAVOID2.3All TFs show negative forecasts (-6% to -28% long); recom 2.11 (weakest analyst backing in group).
25STTAVOID1.91d/1wk long forecasts -33.8/-58.7% at 100% of range after +56% run — extreme overextension warning.
26URIAVOID1.8At 100% of every timeframe range with 1d short -19.9% and 1wk short -53% — worst reward/risk.
27ARWAVOID1.7All forecasts -26 to -46%, recom 3 (hold), targetUpsidePct -2.1% — analyst says top is in.
28AWIAVOID1.6RSI 74.5, at 100% of 4h/1d/1wk range with all forecasts negative — top-of-range chase risk.
29WELLAVOID1.3Profit margin -2.75%, 1d/1wk forecasts -22/-49/-53%, fundamental_score -0.75 — worst combo.
30ARXSAVOID1.0No fundamentals available, RSI 76.5, targetUpsidePct -0.5%, and no forecast data supplied — pass.

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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.