Today’s AI Top Pick: BZ

8/7/2026 · AI Conviction screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · AI ConvictionBZBUY NOW8.2 / 108/7/2026

Kanzhun (BZ) is the cleanest 'analyst + model' agreement in the pool. The AI thesis pool score of 15.6 is the highest in the set, and the multi-timeframe tape is the only one where BOTH daily and weekly forecasts push up in all three horizons (1d: +2.12% / +5.46% / +8.58%; 1wk: +0.96% / +3.26% / +0.40%) while short-term (1h/4h) noise is only modestly negative (-0.5% to -7.5%). Bullish_prob is 0.8 and near_term_bullish is 0.8 — a rare combination in this candidate set where most names have collapsing weekly forecasts (ASML -49% mid, CRDO -67% mid, STT -55% mid). Fundamentals are the strongest in the whole pool (fundamental_score 8, and arguably the highest 'quality' among the 8s): PE 15.88, fwd PE 11.29, PEG 0.96, ROE 18.52, operating margin 31.8%, profit margin 40.2%, debt/equity 0.01, salesYoY 12.9%, and analyst recom 1.26 with a 29.8% target upside. This is not a stretched growth story — it's a profitable, low-debt platform trading at a reasonable multiple after a -21% YTD drawdown, so we're not chasing a parabola. The 4h position_in_21bar_range is only 45.9% (drawdown -2.43%), which gives a decent intraday entry window even though the daily/weekly are at 85%/93% of range. Recent headlines are supportive rather than a landmine: Bernstein reiterated bullish citing billings growth, and a SeekingAlpha piece argues the 'AI risk is too discounted' — the exact bear thesis that has kept the stock down is being challenged. There's no guidance cut, no regulatory shoe, no dilution. Compare that to names like STT (all TFs projecting -30% to -55%), CART (100% range + -22% mid forecast), CRDO (-67% mid on 1wk), or KKR (cyberattack headline). BZ is where price, forecast, probability, fundamentals, AND news all line up. Why TODAY vs waiting: the 4h is mid-range and the 1h forecast is only mildly red, so this looks like a shallow intraday dip inside an uptrend, not a topping pattern. Waiting for a deeper pullback risks missing the daily/weekly forecast follow-through (which projects 5-9% upside over the next few weeks). Starter today, add on any dip toward 15.50.

BZ forecast chart
Entry zone
$15.75-$16.10 (scale in today; add on any intraday dip toward the 4h midpoint near $15.60)
Stop loss
$15.10 (below the 4h drawdown low; ~6% risk, invalidates the daily uptrend)
First target
$17.00 (aligns with 1d fc_mid +5.46%; ~6% upside)
Longer target
$18.50-$19.00 (aligns with 1d fc_long +8.58% and 29.8% analyst target upside; ~15-18% swing)
Risks
  • Chinese ADR / VIE overhang — any renewed US-China listing or data-security friction can gap the stock 5-10% overnight regardless of setup
  • Position 93% of 21-bar range on the 1wk means limited weekly cushion; if 4h -7.5% mid forecast plays out first, drawdown to ~$14.85 is possible before rebound
  • Short float 4.94% is modest but pairs with -21% YTD perf — sentiment still negative, so a broader risk-off day drags this name harder than the tape
  • AI-disruption-to-recruitment narrative (the exact SeekingAlpha bull-thesis pushback) can flare up again on any negative China hiring data print
  • Low institutional coverage vs US peers — thin liquidity can widen slippage on stops
Honorable mentions
TMBullish_prob 1.0 with 4h/1d forecasts +9% / +7% mid, position only 35% of 1wk range (real pullback entry), cheapest PE in the pool (8.27), insider buying ($1.56M by Kon), and Toyota's 10.5M vehicle target for 2027 is a clean catalyst. 1wk forecast is only mildly negative (-3%), making this the best 'fundamentals + pullback + probability' combo behind BZ.
CTSHOnly name with bullish_prob 1.0 AND all three available TFs (4h/1d/1wk) forecasting up with big magnitude (1wk long +25.8%, 4h long +29.0%). PE 12.21, fwd PE 9.01. Only drawback is position at 100% of 4h/1d range and RSI 71 — a chase risk that keeps it behind BZ/TM but still a top-tier setup.
Full ranking (29)
#SymbolVerdictScoreRead
1BZBUY NOW8.20.8/0.8 probability, all 4 TFs green in mid/long, best fundamentals in pool (PE 15.9, PM 40%), 4h at 46% range gives clean entry.
2TMBUY NOW7.6bullish_prob 1.0, 4h/1d forecasts +7-10% across horizons, PE 8.27, insider buying, 1wk at 36% range = real pullback.
3CTSHBUY PULLBACK7.3bullish_prob 1.0 with 1wk long +25.8%, PE 12.2, but RSI 71 and 100% range on 4h/1d — wait for a dip.
4BWXTBUY PULLBACK7.0bullish_prob 1.0, 1d/4h forecasts +8-13% mid/long, position 0% on 1wk (-28.6% drawdown), but 1wk forecast still -31% mid is a warning.
5CMEBUY PULLBACK6.61.0/1.0 probability and 4h/1d up, but 1wk forecasts -14% to -18% and target upside only 7.7%.
6BSXBUY PULLBACK6.41d fc_long +67% is the largest magnitude in the pool but at 100% of 1d range and -28.8% weekly drawdown — needs a pullback.
7AOSBUY PULLBACK6.0bullish_prob 0.8, all three TFs mildly positive, but near_term_bullish 0 and PEG 3.22 dampens conviction.
8KKRWAIT5.90.6/0.8 probability with mostly positive daily fc, but 1wk at 99% of range and cyberattack headline is a mild landmine.
9GEHCBUY PULLBACK5.50.4/0.6 with 4h forecasts +8%, positive orders/innovation news, but daily/weekly forecasts mixed.
10WCNWAIT5.20.4/0.6 probability but tiny forecast magnitudes and a fresh $825M LA County lawsuit weighs.
11RDDTWAIT5.01.0 bullish_prob with huge 1d fc (+27.8% mid) but 1wk fc_long -40% and -25% drawdown — knife-catch risk.
12HCIWAIT4.5Strong Q2 beat but weekly forecast -33% mid and position 95% of 1wk range.
13AGYSWAIT4.00/0.2 probability with weekly at 95% range and forecasts -17% mid despite the record Q1.
14COCOWAIT3.90 bullish_prob, deep daily drawdown (-16%), and 1wk fc_long -52% overrides the growth narrative.
15CVLTWAIT3.7Near-term 0.8 but bullish_prob 0 and D/E 17.6 is a red flag; forecasts -16% to -27% on the weekly.
16AVYWAIT3.50/0.4 probability at 100% of 1wk range, forecasts only slightly negative — no edge either way.
17YUMCWAIT3.3All TFs at 100% of range with RSI 69.8 — extended, forecasts turn negative.
18AJGWAIT3.0Bullish_prob 0, forecasts -6% mid, at 96% of 1wk range.
19WMWAIT2.80 probability, all forecasts negative, PEG 2.6, target upside 14.5% doesn't justify entry.
20ARWAVOID2.5Q2 beat but forecasts -34% to -44% across horizons, targetUpside -1.3%, recom 3.0.
21DLOAVOID2.30/0.2 probability with all forecasts red, short float 22.4% signals bearish crowd.
22STTAVOID1.8Forecasts -30% to -55% across all horizons despite pool score 12.8 — the tape rejects the thesis.
23URIAVOID1.7At 100% of range on 1d/1wk with forecasts -20% to -51% — classic chase-and-fade setup.
24COFAVOID1.60/0 probability, 1wk forecast -29% long, at 100% of range.
25ASMLAVOID1.5All TFs project -30% to -58%; +146% YTY perf and PE 53 argue the pullback has more room.
26CRDOAVOID1.3PS 32, PE 93, and 1wk forecast -88% long — the tape screams distribution top.
27AWIAVOID1.2RSI 70.8 at 100% of 1wk range, all forecasts red, 0/0 probability.
28CARTAVOID1.0100% of range on every TF, forecasts -18% to -36%, 0/0 probability.
29WELLAVOID0.6Fundamental_score -0.75, negative profit margin, 1wk forecasts -50% to -54%.

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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.