Today’s AI Top Pick: CALX
8/7/2026 · Swing Setup 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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CALX is the cleanest swing setup in this pool because it combines the best multi-timeframe forecast alignment with a non-extended chart and improving fundamentals — a rare trifecta. Every timeframe points up: 4h forecasts +32.46% / +33.67% / +48.22%, 1d forecasts +8.76% / +36.99% / +23.01%, and even the 1wk (usually the deteriorating leg on this list) is positive at +1.26% / +15.98% / +23.00%. Bullish_prob is 1.0 and near_term_bullish is only 0.4, which is actually a feature not a bug — it means the tape hasn't already sprinted, unlike MNDY (pos 95/100), KRMN (98/100) or AVAV (88/100/100) which are all pinned at 21-bar highs. Position-in-range is exactly what a swing trader wants: 30.83 on 4h, 49.14 on 1d, and only 14.72 on 1wk with a -24.99% weekly drawdown from the 21-bar high. That means you are buying into a multi-week reset, not chasing a breakout. Fundamentals are the best of any name with a fully positive tape: fundamental_score 7.25, fwdPe 16.28, PEG 0.46, recom 1.22, targetUpsidePct 66.3%, salesYoY 27.84%, epsNextY 33.78%, debt/equity 0.02 (essentially unlevered), instOwn 92.53%. RSI 49.34 is right in the sweet spot of the screen. News confirms rather than undercuts: the July 24 ChartMill / Simply Wall St. pieces on Calix's rural AI broadband deployments and 'affordable growth' framing, plus the Aug 3 options-flow note, are the kind of catalysts that typically front-run a re-rate in a beaten-down small-cap SaaS-infrastructure name (perfYtd -29.19%, perfYear -33.99% — plenty of coiled spring). Compared to TKC (best fundamentals but weekly forecast is basically flat at +2.11/-3.96/+0.28) and MIR (strong short/mid forecast but weekly turns negative -2.62/-5.02/-10.48), CALX is the only name with size-able forecast magnitude AND positive weekly trajectory AND a bombed-out chart. Today is the entry because you get the mid-range 1d/4h position with the 1wk drawdown intact; wait a week and the 4h/1d likely re-price to the top of range while the weekly forecast decays.

- Small-cap telecom-infra name with perfYear -33.99% — sentiment tape is negative, any broader risk-off day amplifies moves
- PE of 49.87 and operMargin only 5.51% mean the story depends on the epsNextY +33.78% actually landing; a soft guide would break the thesis fast
- Short float 10.02% is meaningful — squeezy on good news, but sells hard on any miss
- The 4h fc_short of +32.46% is an aggressive single-bar magnitude; if realized it moves position-in-range to the top quickly, tightening the trailing stop discipline
- Aug 3 'Do Options Traders Know Something' Zacks piece suggests unusual options activity — direction unclear, could be pre-positioning either way ahead of an unknown catalyst
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | CALX | BUY NOW | 8.6 | All-TF positive forecasts, mid-lower range position, best fundamental_score among aligned names, and a fresh AI-broadband catalyst. |
| 2 | TKC | BUY NOW | 8.1 | Cheapest name in the pool (fwdPe 6.92, PEG 0.19) with near_term_bullish 1.0 and oversold position — only the flat 1wk forecast keeps it behind CALX. |
| 3 | BTDR | BUY NOW | 7.2 | Deeply oversold (pos 1.42 on 4h) with +30.84% short-horizon forecast and a bona-fide AI datacenter lease catalyst. |
| 4 | MIR | BUY PULLBACK | 6.8 | 4h/1d forecasts strong (+38/+43/+50 and +23/+33/+31) and pos 20.86 attractive, but 1wk forecast turns negative and analysts just cut PTs. |
| 5 | KVYO | BUY PULLBACK | 6.5 | All-TF near-term bullish 0.8 and mid/long forecasts positive, but Aug 7 Benchmark downgrade is a fresh landmine to fade. |
| 6 | SUPN | BUY PULLBACK | 6.2 | New Strong Buy list + Indivior merger, near_term_bullish 0.8, but 1wk fc_mid/long -31%/-35% is a red flag on the multi-TF alignment test. |
| 7 | INOD | BUY PULLBACK | 5.8 | Blowout Q2 beat but pos 100 on 4h/1d and every forecast horizon turns negative — wait for a reset to the $65 area. |
| 8 | MP | BUY PULLBACK | 5.7 | Strong Q2 and 'best week in 10 months' momentum with 1d fc_mid +15.3%, but 1wk fc_long -31% and fundamental_score only 0.75. |
| 9 | LUNR | WAIT | 5.4 | 4h fc_short +57.88% and SDA contract news are enticing but 1wk fc_long -45.89% and pre-earnings warning cap conviction. |
| 10 | UUUU | WAIT | 5.2 | 4h/1d at pos 100 with 4h fc_mid +19.62% but 1wk fc_long -48.72% — chasing the top. |
| 11 | CLBT | WAIT | 4.9 | Forecasts barely positive short/mid then 1wk fc_long -43.86%; CEO insider selling adds landmine risk. |
| 12 | BRZE | WAIT | 4.6 | Bullish_prob only 0.4, pos 91/84/93 across TFs and 4h fc_short -22.81%; insider selling headline is a soft negative. |
| 13 | MNDY | BUY PULLBACK | 4.5 | 1d and 1wk forecasts strong (+22/+56 and +44/+108) but pos 95-100 across every TF — buy the -10% dip, not here. |
| 14 | KRMN | BUY PULLBACK | 4.4 | Solid earnings and 4h fc +25/+31/+37 but pos 100 on 1d and 1d fc_short -5.98% — wait for cooldown. |
| 15 | AVAV | BUY PULLBACK | 4.3 | 1d fc_mid +38.77% is great but pos 100 on 4h/1d and 1wk fc_long -20.8% — need a pullback. |
| 16 | RARE | WAIT | 4.2 | Weekly fc_long +39.1% is intriguing but 4h/1d short forecasts flat-to-down and roe -656.54 is ugly. |
| 17 | BULL | WAIT | 4.0 | Mildly positive forecasts and AI connector catalyst, but bullish_prob 0.2 and near_term_bullish 0.2 argue for patience. |
| 18 | VFS | WAIT | 3.8 | Positive 4h forecast but grossMargin -51.16% and 1wk fc_long -19.94% — speculative only. |
| 19 | EXK | WAIT | 3.7 | Pos 100 on 1d with 1wk fc_long -61.25%; silver tape too extended to chase. |
| 20 | AVPT | WAIT | 3.5 | Soft Q2 guidance sold off already, near_term_bullish 0.2 and mid/long forecasts negative on 4h and 1wk. |
| 21 | HNGE | AVOID | 3.2 | Every forecast horizon deeply negative (4h fc_long -44%, 1d fc_long -41%) despite the acquisition news. |
| 22 | HAPN | AVOID | 3.0 | Bullish_prob 0, 1wk fc_long -11.78%, pos 90 — screen-passing name with rolling-over tape. |
| 23 | LC | AVOID | 2.9 | All forecast horizons negative (1d fc_short -16.82%, 1wk fc_long -26.27%) despite good fundamentals. |
| 24 | DLO | AVOID | 2.8 | Pos 90+ across TFs with 4h fc_short -15.7% and every mid/long forecast negative. |
| 25 | MNR | AVOID | 2.7 | Lowered 2026 production outlook per Aug 7 report; forecasts near zero and bullish_prob 0. |
| 26 | AG | AVOID | 2.6 | Pos 100 on 1d with 1d fc_long -25.64% and 1wk fc_long -66.69% — silver momentum unwind. |
| 27 | ARIS | AVOID | 2.5 | Base shelf prospectus filing signals dilution risk; 1wk fc_long -69.2% is brutal. |
| 28 | TGTX | AVOID | 1.8 | Every forecast horizon -28% to -49%; bullish_prob 0, pos 71 — a distribution top. |
| 29 | ACMR | AVOID | 1.6 | 1d fc_short -48.6% and 1wk fc_long -76%; perfYear +214% suggests mean reversion in progress. |
| 30 | SIMO | AVOID | 1.4 | Every forecast horizon -27% to -74% after +249% perfYear; tariff-tape headwinds compound the reversion. |
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