Today’s AI Top Pick: CALX

8/28/2026 · Recently Alerted GARP screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Recently Alerted GARPCALXBUY NOW8.4 / 108/28/2026

CALX is the cleanest multi-timeframe setup in the pool right now. Every horizon points up: 4h forecasts +49.79%/+49.51%/+44.74% (short/mid/long), 1d +10.64%/+30.32%/+20.38%, and — crucially — the 1wk is ALSO positive at +4.82%/+8.92%/+18.80%. That is the rare '1d + 1wk both green' alignment the brief asks for, and none of the other high-forecast names (APP, HSAI, BILI, ALNY) have a green weekly across all three horizons. Bullish probability is 1.0 with near_term_bullish 0.8. Positioning is favorable, not chased. Price is $37.69 with pos_in_21bar_range at 26.3% (4h), 38.5% (1d), and 14.5% (1wk), and a manageable -4.34% drawdown on 4h. That is mid-to-lower range on every TF — the opposite of ORCL (79-91% of range, weekly forecast negative -7% to -14%) or PDD (fell after earnings with a fresh SeekingAlpha rating downgrade). You are buying into a base, not chasing a breakout. Fundamentals meet the GARP screen with room to spare: PEG 0.46, fwdPe 16.37, salesYoY +27.84%, epsNextY +33.78%, recom 1.22 (near strong buy), targetUpsidePct +65.4%, debt/equity 0.02 (essentially none). Fundamental_score 8/8. Profit margin (4.61%) and ROE (6.91%) are the weak spots, but that is what the fwdPe compression prices in. News is the tiebreaker that keeps CALX #1. Headlines are neutral-to-positive ('Up 4.5% since last earnings report… can it continue?', 'Do options traders know something?'), no guidance cut, no legal overhang, no short-seller report. Compare to ONON (fresh 52-week low headline plus weak consumer-discretionary tape), RLX ('Smoke and Mirrors?' Benzinga piece), PDD (rating downgrade + fell on earnings), APP (weekly forecast collapse of -34% to -39%). CALX is the one where a strong forecast is NOT undercut by a bad headline — that is why today, not later, is the entry.

CALX forecast chart
Entry zone
$37.00–$38.00 (current $37.69, add on any dip toward $36.50)
Stop loss
$34.20 (below the 21-bar weekly low implied by the -24.85% dd_from_high; ~9% stop)
First target
$42.50 (roughly the 1d fc_mid magnitude of +12–13% and prior consolidation)
Longer target
$50–$54 (aligned with 4h fc_long +44.7%, 1wk fc_long +18.8%, and analyst upside 65.4%)
Risks
  • Profit margin only 4.61% and ROE 6.91% — any revenue miss compresses fwdPe 16.37 fast
  • Short float 6.95% is not huge but enough to amplify a bad print
  • Weekly recent_21bar_pct is -21.03% — the base is being built inside a downtrend, so a break of $34 opens air to $30
  • 1yr perf -36.55%, YTD -28.79% — this is a falling-knife rehab trade, not a momentum name
  • Small cap (~$2.37B) means liquidity gaps on macro-risk-off days
Honorable mentions
BILIBlowout Q2 2026 earnings ('record margins, AI-driven growth'), 4h forecasts +54%/+63%/+44%, 1wk fc_long +46.31%, deep at 3.94% of weekly range. Held back from #1 because 1wk short forecast is slightly negative (-0.44%) and salesYoY (11.2%) is the lowest in the pool.
BIRKAll four TFs available with mid/long forecasts green across the board (1d +15/+22, 1wk +17/+27), positive 'affordable growth' headline post-earnings, pos_in_range 20-45% (not stretched), fwdPe 12.49, peg 0.79. Near-term (1h/4h short) slightly negative keeps it out of #1.
Full ranking (11)
#SymbolVerdictScoreRead
1CALXBUY NOW8.4Only name with all-timeframe green forecasts (weekly +4.8/+8.9/+18.8), mid-low range, clean news, peg 0.46.
2BILIBUY NOW8.1Post-earnings margin beat + AI narrative, 1d fc_mid +48%, 1wk fc_long +46%, sitting at 3.94% of weekly range.
3BIRKBUY NOW7.6Consistent mid/long forecasts across 4 TFs, positive valuation headlines, fwdPe 12.49.
4ONONBUY PULLBACK7.21d fc +20/+40/+42 and 0% of weekly range, but fresh 52-week-low headline and weak consumer tape argue for confirmation.
5ALNYBUY PULLBACK6.94h forecasts +70/+79/+74 with -31.78% drawdown, ESC catalyst pending, but 1wk fc almost flat (+0.4/+5.6/+4.5).
6HSAIBUY PULLBACK6.6Robotics narrative + strong 4h/1d forecasts, but weekly fc turns negative (-2.4/-4.3/-18.8).
7ORCLWAIT6.0Near top of 4h range (91%) with negative near-term and weekly forecasts; Citi 'buy the dip' but tape says wait.
8PDDWAIT5.8Cheap at fwdPe 6.85 but fell on earnings, fresh SeekingAlpha downgrade citing core ad deceleration.
9APPWAIT5.2Huge short-term bounce forecast (+60% 4h) but weekly forecasts -9/-35/-39 signal broken structure.
10PINSWAIT4.94h forecast negative, only 0.6 bullish prob, sitting at 82% of weekly range — no edge here.
11RLXAVOID4.6Benzinga 'Smoke and Mirrors?' headline is a landmine on a small-cap with negative near-term weekly forecast.

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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.