Today’s AI Top Pick: DOCS
8/28/2026 · Quality Squeeze 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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Doximity is the cleanest multi-timeframe setup in the pool right now. The 4h/1d/1wk forecasts all point the same direction with meaningful magnitude — 1d fc_short/mid/long of +3.59% / +32.98% / +51.33% and 1wk fc of +1.53% / +10.01% / +60.51% — while the 4h tape also flips positive on the mid/long horizons (+2.8% / +5.22%). Kronos bullish_prob is 1.0. Unlike INSP or PATH, DOCS is NOT pinned at range highs: 4h pos_in_21bar_range is 34.18% (mid-range), 1d 68.55%, 1wk 74.85%, with only a modest -3.95% / -7.74% drawdown from the 4h/1d 21-bar high. That gives you a legitimate entry without chasing. Fundamentals fit the quality-squeeze mold cleanly: ROE 17.21%, profitMargin 25.48%, debtEq 0.01 (essentially net cash), shortFloat 15.01% (squeeze fuel), and fwdPe of 16.46 is reasonable for a 25%+ margin healthcare-software franchise. salesYoY 11.18% and epsNextY 15.51% back the multiple. Analyst tape is warming — the 08/28 price target hike to $30.32 (+12.72%) and Zacks' 'retain' both landed within the last week, aligning with the forecast bullishness. The stock is down -42% YTD and -62% YoY, so this is a mean-reversion inside a screen-passing quality name, not a momentum blow-off. The 1h shows some near-term chop (fc_mid -2.63%, fc_long -4.05%), which is exactly why today's mid-range 4h positioning matters — you get to buy the pullback before the 1d/1wk forecast expansion plays out. Contrast with INSP (stronger forecasts but pos 91-96% of range = chasing) and UPWK (best forecast magnitudes but 08/20 headline cut growth outlook — landmine). DOCS has the alignment, the entry level, the catalyst, and no red-flag headline. Why today: 4h drawdown is only -3.95% and 4h position is 34% of range — a rare combo of 'not extended' plus 'all higher-timeframe forecasts up.' Waiting risks the 1d fc_short (+3.59%) triggering and lifting the 4h position back to 70%+.

- 1h fc_mid/long are slightly negative (-2.63% / -4.05%) — near-term chop before the higher-timeframe move; a gap-down open could hit stop before thesis plays out.
- recom 2.43 (only lukewarm buy) and PEG 2.61 — valuation isn't cheap on growth-adjusted basis, so a broader tech de-rate would hurt disproportionately.
- shortFloat 15.01% is the lowest end of the screen — less squeeze fuel than SEZL (24.76%) or PATH (29.27%).
- Stock is -62.36% over the trailing year; sentiment damage means rallies can stall at prior supply zones ($28-30).
- targetUpsidePct is only +20.7% — analyst ceiling is below our longer target, so upside beyond $30 requires estimate revisions.
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | DOCS | BUY NOW | 8.1 | MTF alignment on 4h/1d/1wk, mid-range entry (4h pos 34%), fresh price-target hike — cleanest setup in the book. |
| 2 | INSP | BUY PULLBACK | 7.6 | Best forecast magnitudes (1wk fc_long +160%) but pos 91-96% of range means chasing; wait for a -5% dip. |
| 3 | PSIX | BUY PULLBACK | 6.7 | 4h/1d strongly bullish and recom 1.0, but 1wk fc collapses -52% — timeframe conflict caps conviction. |
| 4 | UPWK | WAIT | 6.2 | Best 4h forecast (+115% long) and cheapest fwdPe 6.54, but 08/20 growth outlook cut is a fresh landmine. |
| 5 | TTD | BUY PULLBACK | 5.6 | Massive 1wk fc (+463% long) after -74% YoY crash, but fundamental_score -4.25 and 1d fc_short -21% says the bottom isn't in. |
| 6 | CRMD | WAIT | 5.4 | Cheapest PE (3.95) with 280% sales growth, but 1wk forecast turns -14% long and pos 97% on 1d — extended. |
| 7 | LRN | WAIT | 5.0 | Highest fundamental_score (5.75) but 4h fc all negative and downgrade headline 08/24 undercuts the tape. |
| 8 | DUOL | WAIT | 4.7 | Great fundamentals (roe 34%, margin 36%) but pos 87-96% across timeframes, near_term_bullish only 0.2, targetUpside -10.7%. |
| 9 | LYFT | WAIT | 4.5 | PE 2.43 is jaw-dropping but CFO sold $8.9M of stock this week and 1d fc_long -8.98% — insider signal outweighs value. |
| 10 | TDC | WAIT | 4.3 | Deep drawdown (-25.88% 4h) offers value but forecast magnitudes are anemic (1d fc_long +5.12%) — dead money risk. |
| 11 | EVER | WAIT | 4.0 | 1d/1wk fc turn -19% to -24% long, near_term_bullish 0, CTO selling — forecast tape is deteriorating. |
| 12 | SGHC | AVOID | 3.6 | Fundamental_score 8 but 1wk fc_long -60.36% and bullish_prob 0 — forecast rejects the fundamentals. |
| 13 | AUGO | AVOID | 3.4 | Fundamentals strong (roe 100%, PEG 0.14) but RSI 73.67, perfYear +211%, 4h fc_long -29.69% — classic blow-off top. |
| 14 | DLO | AVOID | 3.3 | All timeframe forecasts negative (1wk fc_long -11%, 4h -13%) despite positive earnings headline — tape disagrees. |
| 15 | SEZL | AVOID | 2.9 | Down -30% from 21-bar high on 4h/1d and 4h fc_long -32.67% — squeeze thesis is unwinding. |
| 16 | DUOT | AVOID | 2.7 | Operating margin -32.16%, 1wk fc_long -54.33%, profitMargin 158% is one-time — accounting quirk, not a business. |
| 17 | FRPT | AVOID | 2.6 | CEO sold $6.6M, epsNextY -3.91%, and 1d fc_mid -13.21% — insider + forecast + estimates all pointing down. |
| 18 | PATH | AVOID | 2.1 | RSI 78.65, pos 100% on 1wk, 1wk fc_long -25% and targetUpside -25.8% — textbook top. |
| 19 | LQDA | AVOID | 1.8 | Forecasts are catastrophic (1wk fc_long -82.47%, 1d fc_long -64.94%) and a fund publicly took profits — get out of the way. |
| 20 | XMAX | AVOID | 1.5 | PS 36.38, operMargin -20.51%, 1wk fc_long -53.36% — micro-cap with broken tape and stretched multiple. |
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