Today’s AI Top Pick: CALX

8/27/2026 · Reliable Bullish screen · a free sample of K3vl4r’s AI-curated picks.

AI-ranked from a screened shortlist, with entry strategy, targets, and risks.

Measured daily model accuracy · CALX76%378 resolved forecasts · 45d window · verify →

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Today's pick · Reliable BullishCALXBUY NOW8.6 / 108/27/2026

CALX is the cleanest confluence of fundamentals, forecast tape, and entry location in this pool. Bullish probability is 1.0 with near-term bullish 0.6, and the multi-timeframe forecast signal is positive across every horizon: 4h fc_short/mid/long of +49.18/+51.08/+46.17, 1d of +8.04/+27.45/+19.94, and 1wk of +1.22/+14.15/+19.38. That's genuine multi-timeframe agreement rather than a single-bar outlier — every timeframe wants higher prices, with the mid-horizon magnitudes clustering in the ~20-50% range. Crucially, you are NOT chasing. 1wk position_in_21bar_range is only 17.42% with drawdown -24.01%, and 4h sits at 33.01% of range. The stock has base-built after a -20.16% 1wk decline, so entry today doesn't require paying up for extension — contrast that with TIGR (94.92 pos_in_range on 1d) or CRK (100/100 on 4h and 1d). Fundamentals reinforce the setup: fwdPe 16.66, PEG 0.47, recom 1.22 (strong buy), targetUpsidePct 62.5%, salesYoY 27.84%, debtEq 0.02, and institutional ownership 95.93%. Fundamental_score 8/8 — top of the cohort. Recent headlines are supportive rather than a landmine: 'Up 4.5% Since Last Earnings — Can It Continue?' (Zacks), unusual options activity flagged, and expansion of rural AI broadband deployments. No guidance cuts, no dilution, no legal overhang — a stark contrast to CLBT (CEO shift + guidance cut) and PDD (fresh SeekingAlpha downgrade citing core ad deceleration). The AI-broadband narrative gives a fundamental catalyst to justify the forecast magnitudes. Why today vs. wait: the 1wk drawdown of -24% and low range-position mean the pullback has already happened. Waiting risks chasing the +27% 1d mid-horizon forecast rebound. RSI 46.93 is neutral — not oversold bounce, not overbought. This is the setup where you take the position now with a defined stop.

CALX forecast chart
Entry zone
$37.00–$38.50 (accumulate into current $38.11; add on any dip toward $37 which is near 1wk range midpoint)
Stop loss
$34.80 (below the 1wk range low; ~9% risk, aligned with -24% drawdown floor holding)
First target
$44.50 (roughly the 1d fc_mid +27% projection; near recent 21-bar highs)
Longer target
$52–$56 (aligns with 4h fc_long +46% and analyst target upside 62.5%)
Risks
  • Fwd PE 16.66 is reasonable but current PE 51.04 and operMargin only 5.51% mean earnings must scale; a miss reprices hard
  • Perf YTD -27.53% and perfYear -35.5% — the stock is in a downtrend and could see continued sector-wide tech pressure before mean-reverting
  • shortFloat 6.95% is manageable but any negative rural broadband/BEAD funding headlines could trigger unwind
  • 1wk fc_short is only +1.22% — the immediate week could chop before the mid/long forecasts kick in
  • profitMargin 4.61% is thin; opex/inventory surprises could compress margin further
Honorable mentions
PDDBest pure valuation (fwdPe 7.02, PEG 0.68, profitMargin 20.73%, ROE 22.94%) with bullish_prob 1 and near_term 0.8; 1d pos_in_range only 24.69% so not chasing. Docked from #1 by fresh 8/26 SeekingAlpha downgrade citing core ad deceleration and 1P pivot risk — real thesis-relevant negative that needs to clear.
ADMAElite fundamentals (ROE 41.9%, profitMargin 32.98%, operMargin 42.26%, targetUpside 93.9%) and huge 4h forecasts (fc_long +89.14%). Held back because 1wk forecasts are negative (-4.2/-9.55/-3.54) and Q2 earnings missed estimates (8/5 headline), so multi-timeframe agreement is broken at the weekly level.
Full ranking (12)
#SymbolVerdictScoreRead
1CALXBUY NOW8.6MTF-aligned bullish forecasts across 4h/1d/1wk, 1wk range-position only 17.42%, fundamental_score 8, positive AI broadband catalyst.
2PDDBUY PULLBACK8.0Cheapest name with fwdPe 7.02 and near_term_bullish 0.8, but 8/26 downgrade on ad deceleration warrants waiting for the dust to settle.
3ADMABUY NOW7.4Best profitability metrics and +93.9% target upside, but weekly forecasts turn negative — trade the short/mid horizon, not the swing.
4WAYBUY PULLBACK7.0Strong Investor Day + Needham Buy reiteration, recom 1.16, but 4h pos_in_range 78.21% means you're chasing the pop.
5AMRCBUY NOW6.4Insider buying + gap up, 1wk pos_in_range 11.6% (deep value zone), fc_long +34.88%, but limited TF coverage caps conviction.
6KVYOBUY PULLBACK6.0Near_term_bullish 1.0 and strong product momentum headline, but PE 839 and operMargin -1.86% demand discipline on entry.
7TIGRWAIT5.8Great fundamentals and record Q2, but 1d pos_in_range 94.92% — pure chase; wait for a pullback to $4.80s.
8ETORWAIT5.3bullish_prob null and two analyst price target cuts this week; wait for confirmation.
9DEFTWAIT5.0Huge forecast magnitudes but $0.59 microcap with -27% sales YoY; speculative only.
10CRKWAIT4.8At 100% of range on 4h AND 1d with negative 1wk forecasts and Morgan Stanley PT cut — extended and topping.
11PINSAVOID4.3bullish_prob 0, 4h forecasts all negative (-8.59/-12.42/-7.34), and 'looks fully valued' analyst note.
12CLBTAVOID3.8CEO shift AND guidance cuts per 8/21 headline; 1wk forecasts turning negative (-18.76 long) — thesis is broken.

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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.