Today’s AI Top Pick: BZ
10/2/2026 · Bullish Consensus Reliable Bullish screen · a free sample of K3vl4r’s AI-curated picks.
AI-ranked from a screened shortlist, with entry strategy, targets, and risks.
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Kanzhun Ltd (BZ) is the best risk-adjusted buy right now because it uniquely satisfies all five weighting criteria simultaneously. On multi-timeframe alignment, BZ is the only candidate with bullish confirmation across all four timeframes: 1h (fc_long 3.74%, pos_in_range 45.67%), 4h (fc_long 5.48%, pos_in_range 79.29%), 1d (fc_long 3.83%, pos_in_range 43.50%), and 1wk (fc_long 10.56%, pos_in_range 48.59%). Critically, on the daily and weekly timeframes it sits near the MIDDLE of its 21-bar range (43.5% and 48.6% respectively), not at the top — so we are not chasing. The weekly forecast magnitude is strong at 10.56% with only a -13.86% drawdown from the high, which is an acceptable pullback on a recovering trend. Bullish probability is 1.0, well above the 0.55 meaningful threshold, and near-term bullish is 0.6. Fundamentally, BZ is a bargain with fortress balance-sheet economics: forward P/E of just 10.22, PEG of 0.84, ROE of 24.4%, and an extraordinary gross margin of 85.92% with a profit margin of 53.22%. Debt-to-equity is a negligible 0.01, and analyst recom is 1.45 (buy territory) with 46.9% target upside. Sales growth of 15.92% YoY confirms the business is still expanding. The fundamental_score of 8 is tied for the highest in the pool, reflecting genuinely high-quality economics at a cheap multiple. News is a clean tailwind, not a landmine: the most recent headlines (09-28 to 09-24) all reinforce the bull case — a 100% payout ratio with strong operating leverage cited as a buy reason, and options traders showing conviction. No guidance cuts, no dilution, no short-seller reports. Unlike WAY (return-to-private ambiguity), NCNO (deteriorating 1d trend, -18.11% drop), or BEAM (active trade-secret litigation), BZ has no material headline risk undercutting the thesis. Today is the right entry because the multi-timeframe tape shows a mid-range accumulation with positive forecasts ahead and a 46.9% analyst-implied upside that has not yet been priced in.

- China macro and regulatory exposure — Kanzhun is a Chinese job-platform ADR; policy shifts or regulatory action could pressure the business and multiple.
- Concentration/liquidity risk — smaller-cap (~$5.9B) with thinner options liquidity than mega-caps, meaning wider slippage on exits.
- Currency and ADR structure risk — RMB/USD moves and ADR redemption mechanics add layers of non-operational volatility.
- Forecast-model reliance — the bullish thesis is heavily weighted to the model's multi-timeframe forecasts; a model miss or regime change could invalidate the setup.
- Valuation is cheap for a reason — low PEG and forward P/E may reflect a China risk premium that could widen in a risk-off environment.
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | BZ | BUY NOW | 15.5 | Only candidate with full 4-timeframe bullish alignment, mid-range entry, 46.9% upside, and 53% profit margins at a 10x forward P/E — no headline landmines. |
| 2 | ALGT | BUY PULLBACK | 15.5 | Perfect multi-timeframe alignment and 0.13 PEG, but thin 0.86% margin and airline cyclicality cap conviction. |
| 3 | WAY | BUY PULLBACK | 15.5 | Top-tier fundamentals and 32.9% upside, but sitting at 90% of its 21-bar range on two timeframes — chase risk, wait for a dip. |
| 4 | NCNO | BUY PULLBACK | 12.4 | Bullish 4h/1wk with 24.4% upside, but the daily dropped -18.11% and near-term bullish is only 0.6 — wait for stabilization. |
| 5 | MORN | BUY PULLBACK | 13.3 | Excellent fundamentals and a 32.88% weekly forecast, but 4h/1d tape is negative and it just fell -11.38% — not a clean entry yet. |
| 6 | POWI | WAIT | 12.8 | 58.6% upside and CAPZero-4 catalyst, but a -27.85% weekly drawdown and 115x trailing P/E make this a wait-for-stability setup. |
| 7 | NICE | WAIT | 12.4 | Leader in IDC MarketScape and Oppenheimer Outperform, but only 0.2 bullish probability and near-term flat — momentum not confirmed. |
| 8 | DSGX | WAIT | 11.0 | Short interest fell 52.7% and AI narrative intact, but bullish_prob is 0 despite near_term_bullish 1.0 — mixed signal, wait. |
| 9 | CDW | WAIT | 9.9 | Buyback acceleration and Lovelytics acquisition are positives, but 4h/1d tape is negative and only 16.8% upside limits appeal. |
| 10 | VFS | BUY PULLBACK | 11.0 | 71.6% upside and 74% sales growth, but negative margins (-110%), null P/E, and thin 0.17% institutional ownership = speculative. |
| 11 | EQPT | WAIT | 11.5 | Rebutted a short report and signed a Cummins fleet deal, but bullish_prob is null and P/E of 225x is stretched — wait for clarity. |
| 12 | CI | BUY PULLBACK | 7.0 | Deeply undervalued at 11x with double-digit EPS growth and RBC Outperform, but near-term bullish only 0.8 with a muted 27.2% upside. |
| 13 | BRZE | WAIT | 10.1 | BTIG Buy and rocketing shares, but bullish_prob is 0 and the daily fell -23.49% — momentum not yet confirmed by the model. |
| 14 | ISRG | WAIT | 9.9 | Quality franchise at 46x but only 19.6% upside and a -7.9% weekly drawdown — wait for a better risk/reward entry. |
| 15 | BEAM | AVOID | 6.5 | 109% upside and base-editing leadership, but active trade-secret litigation and -54% margins make this a landmine despite the forecast. |
| 16 | PCOR | BUY PULLBACK | 6.3 | Piper Sandler Overweight and 32% upside, but negative margins and a -14.74% daily drop mean wait for stabilization. |
| 17 | IPGP | BUY PULLBACK | 6.7 | Full bullish alignment and 48.4% upside, but 129x P/E and a -28% 4h drawdown make this a pullback-only entry. |
| 18 | BEKE | WAIT | 7.5 | Reasonable 13x forward P/E and 44.4% upside, but China property exposure and a -7.91% daily drop warrant caution. |
| 19 | BILL | WAIT | 3.0 | Blackbaud partnership is a catalyst, but negative margin, -13.92% daily, and negative expected return argue for waiting. |
| 20 | AMBA | WAIT | 2.8 | Edge-AI narrative and 29.9% upside, but -13.48% margin and 66x forward P/E make this a wait-for-profitability setup. |
| 21 | APLD | BUY PULLBACK | 7.7 | 169.7% upside and 167% sales growth, but -43% margin, 21% short float, and a -42% weekly drawdown = high-volatility pullback play. |
| 22 | SHW | WAIT | 6.6 | Priced at 2x with 21.8% upside and a Q3 report on 10/27 — wait for the earnings catalyst and a cleaner entry. |
| 23 | DLB | WAIT | 7.4 | Meta AI glasses tailwind and 33.8% upside, but a -4.55% daily and only 12.9x forward P/E with muted momentum = wait. |
| 24 | FPS | WAIT | 7.6 | AI power narrative and Wells Fargo coverage, but bullish_prob null, 138x P/E, and a -4.21% drawdown = wait for confirmation. |
| 25 | GLXY | WAIT | 9.8 | 92% sales growth and 76.5% upside, but negative P/E, -7.79% margin, and null bullish_prob = speculative wait. |
| 26 | CE | BUY PULLBACK | 10.8 | Chemical price increases and a Buy rating, but -24.57% ROE, -12% margin, and a -22% weekly drawdown = wait for stabilization. |
| 27 | TTAN | BUY PULLBACK | 10.3 | Ramp partnership and $96 target are strong catalysts, but -12% margin, 40x forward P/E, and a -27% daily drop = pullback entry. |
| 28 | BNTX | AVOID | -2.5 | 21.1% upside but -63% margin, null P/E, and biotech binary risk make this an avoid until profitability improves. |
| 29 | VKTX | BUY PULLBACK | 4.4 | 213.6% upside and 1.0 near-term bullish, but null fundamentals and -88% ROE = high-risk pullback-only speculative play. |
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