Today’s AI Top Pick: DOCS

9/3/2026 Β· Highly Shorted Short-Term Bounce πŸ§ͺDeep Rotation screen Β· a free sample of K3vl4r’s AI-curated picks.

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

Measured 4-hour model accuracy Β· DOCS64%684 resolved forecasts Β· 30d window Β· verify β†’

View the live DOCS price forecast β†’

Today's pick Β· Highly Shorted Short-Term Bounce πŸ§ͺDeep RotationDOCSBUY NOW8.4 / 109/3/2026

Doximity is the cleanest multi-timeframe setup in this pool. Bullish_prob is 1.0 and near_term_bullish is a perfect 1.0 β€” the only name here with both maxed. The forecast tape confirms across horizons: 4h fc_mid +4.65% / fc_long +6.88%, 1d fc_mid +29.42% / fc_long +56.82%, and 1wk fc_mid +16.63% / fc_long +61.38%. The 1h is essentially flat (-0.04% short, -2.75% mid), which is exactly what you want β€” no exhaustion spike to fade, just a consolidation while higher timeframes point up. Fundamentals back the tape unlike most short-squeeze setups here. Profit margin 25.48%, operating margin 30.57%, ROE 17.21%, debt/equity essentially zero (0.01), fwdPe 16.93 β€” that's a rare combination of quality and reasonable valuation in this basket. Contrast with CELH (pe 135, profitMargin 1.97, debtEq 2.03) or MNDY (fwdPe 14 is fine but operMargin only 2.9%). Short float 15.01% still gives the squeeze fuel the screen is designed to capture, YTD is -40.56% and 1yr -60.72%, so this is a deep-rotation bounce candidate with real earnings. Why today and not wait: dd_from_21bar_high is only -3.37% on daily/weekly with position 86-89% of range, meaning price is coiling near the highs rather than extended vertically β€” no blowoff to chase. Compare to DUOL (pos 100 on 1wk, dd 0, but fc_short -11.03% on 1d β€” clear top), FIVN (pos 100 across all TFs with fc_long -39% on 1d β€” broken), or PATH (pos 100 on 1h/1wk with fc_long -34% on 1d). DOCS has the cleanest 'holding gains, forecasts still up' profile. News check: the 9/2 ChartMill note flags 'Quality Investment with Superior Returns on Capital' and the 8/28 headline notes a broad rally in the sector cohort. The 9/1 'Reasons to Avoid' Yahoo piece exists but isn't a guidance cut, legal action, or dilution β€” it's a valuation take. Nothing materially undercuts the thesis. I'm passing on MNDY at #1 despite its 6.75 fundamental_score because its 1h forecasts are outright negative (-1.87/-3.94/-8.84%) and near_term_bullish is only 0.2 β€” great for a swing, but not the best buy for today.

DOCS forecast chart
Entry zone
$26.20–26.55 (near current $26.48; add on any dip toward the 21-bar mid at ~$25.90)
Stop loss
$24.70 (below the 21-bar dd zone, ~-6.7%)
First target
$29.50 (aligns with 1d fc_mid +29% path and prior resistance)
Longer target
$34–36 (1wk fc_mid +16.63% / fc_long +61.38% moderated for prudence)
Risks
  • Position at 86–89% of 21-bar range on daily/weekly means a short-term pullback to $25 area is possible before continuation
  • Short float of 15.01% is the lowest in this pool β€” less squeeze fuel than PATH (29.27%) or ASAN (29.08%)
  • Healthcare IT sector rotation can reverse quickly; a broad tape drawdown would hit the fc_long +56% path
  • Recom is only 2.43 (moderate) and PEG 2.69 is elevated β€” valuation isn't cheap on growth-adjusted basis
  • 1d fc_short is -0.34% β€” first few sessions may chop before mid-horizon strength kicks in
Honorable mentions
MNDYHighest fundamental_score (6.75) with fwdPe 14.13, PEG 0.65, salesYoY 24.21%, and huge 1d/1wk fc_long (+75.77% / +89.17%). Held back by weak near-term: 1h fc all red and near_term_bullish only 0.2. Better on a pullback to $92.
PPCCheapest name in pool (pe 13.61, fwdPe 10.59), 1d forecasts fully positive (+6.01/+12.47/+19.68%), position in range only 35–56% (not extended), near_term_bullish 0.6. Weaker growth (salesYoY 1.42%) caps upside.
Full ranking (13)
#SymbolVerdictScoreRead
1DOCSBUY NOW8.4Only name with bullish_prob 1.0 AND near_term_bullish 1.0, quality fundamentals, forecasts up across 4h/1d/1wk.
2MNDYBUY PULLBACK7.3Best fundamentals (6.75) and huge 1d/1wk fc_long, but 1h/near-term weak β€” wait for dip.
3PPCBUY NOW6.8Cheapest valuation, clean 1d forecast, mid-range position β€” low-drama compounder bounce.
4OWLBUY PULLBACK6.0Near_term_bullish 0.8 is high, but 1wk forecasts negative and pe 146 is stretched.
5CELHBUY PULLBACK5.61d fc_mid/long strong (+28.76/+36.7%) but 1h at top of range with negative short-term forecasts.
6UUUUWAIT4.7HCW price target raise supports narrative but 1wk fc_long -46.87% and negative margins scream caution.
7TEMWAIT3.6Insider selling + fwdPe 3503 + fc_long -26.64% on 1wk override the near-term bounce.
8HOGWAIT3.2UBS lifted PT but multi-timeframe forecasts skew negative and bullish_prob is 0.
9DUOLAVOID3.0Pos 100% on 1wk, fc_short -11% on 1d, targetUpsidePct -14.9% β€” extended and rolling.
10ASANAVOID2.8ROE -87.55%, profitMargin -20%, 1wk fc_long -21% β€” Q2 earnings tomorrow adds binary risk.
11PATHAVOID2.4Pos 100% on 1h/1wk with 1d fc_long -34.99% β€” classic chase-and-fade setup.
12RUMWAIT2.2$13.7B AI deal is a real catalyst but operMargin -100.96% and fc_long -23.89% on 4h β€” speculative only.
13FIVNAVOID1.4Pos 100% every TF and fc_long -39.52% on 1d / -44.29% on 4h β€” worst tape in pool.

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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.