Today’s AI Top Pick: DOX

9/8/2026 · Forecast Pure screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Forecast PureDOXBUY NOW8.0 / 109/8/2026

Amdocs (DOX) is the cleanest, most internally consistent forecast in this pool. Every single timeframe — 4h, 1d, and 1wk — points up: fc_short/mid/long are +18.43/+17.12/+16.85% on 4h, +7.69/+10.43/+16.83% on 1d, and +10.65/+20.01/+31.93% on 1wk. That kind of monotonic, escalating upside across horizons is exactly the multi-timeframe agreement the brief asks us to weight hardest, and unlike SRAD (+60% short-forecasts) or CLVT (+42% short-forecasts), the magnitudes are believable rather than outlier-shaped — meaning less risk that we're chasing a Kronos artifact. Kronos bullish_prob is 1 and near_term_bullish is 0.8. Crucially, DOX is one of the few names here where a strong forecast is backed by real fundamentals: PE 14.87, fwdPE 7.76, PEG 0.81, profitMargin 9.56%, ROE 13.11%, debt/equity 0.33, and analyst targetUpsidePct +36.1%. Perf YTD is −22.73% and perf 1yr is −26.47%, so this is a beaten-down, cheap quality name mean-reverting — not a euphoric momentum blow-off like PAYS (+161% YTD), PENG (+164% YTD), or LFST (+80% YTD) that Kronos is calling for −40% to −70% mean reversion on. The recent Amdocs–Telefonica Chile AI managed-services headline (Aug 29) is a legitimate positive catalyst rather than a landmine. The one knock is position: pos_in_21bar_range is 100% on 4h and ~82% on 1d/1wk — you are not buying the dip, you're buying breakout continuation. But drawdown from 21-bar high is only −1.69% (1d) / −3.68% (1wk), so any 2–4% pullback is a gift entry rather than a broken thesis. Given the forecast escalates through the weekly horizon, waiting risks missing the move; scaling in today with a tight stop is superior to a full-size chase. Why today over waiting: the model expects short-horizon strength to compound into long-horizon strength (rising fc curve), fundamentals give a valuation floor, headlines are net positive, and no dilution/legal/short-report landmines are visible. Compare to SRAD (bigger raw forecast, but 4h calls +60% which smells like an outlier and stock is already coming off a −58% year), CLVT (positive forecast and insider buy, but negative profit margin, negative ROE, and 15% short float), and CPRT (positive but pos_in_range 98%+ everywhere and short-forecast weakens before recovering).

DOX forecast chart
Entry zone
$61.00–$62.30 (buy 60% now near $62.20, add 40% on pullback to $60–61 gap-fill)
Stop loss
$58.40 (below 21-bar range low, ~-6% risk)
First target
$68.70 (1d fc_mid +10.4%)
Longer target
$75.00–$82.00 (1wk fc_mid/long +20% to +32%)
Risks
  • Position at 100% of 21-bar range on 4h — entering into a local high, chasing risk if broad market rolls
  • Sales growth is nearly flat (salesYoY +0.15%) — thesis leans on multiple re-rating, not growth acceleration
  • 9.48% short float is elevated for a large-cap and could cap upside if shorts add on rallies
  • Weekly recent_21bar_pct is −3.68% — DOX has been consolidating; a break below $58 invalidates the mean-reversion thesis
  • StockStory 'skeptical of' article Sep 4 is a mild sentiment headwind, though not a fundamental red flag
Honorable mentions
CLVTAll-timeframe positive forecasts (+24/+45/+68% weekly), fwdPE 2.7, PEG 0.35, director bought $1.7M in August, and pos_in_21bar_range only 18–25% on 4h/1wk — much better entry location than DOX. Held back by negative profit margin (−13.84%), −7% ROE, 15.26% short float, and Hold-tier analyst recom (2.56). Great risk/reward but a lower-quality business, so #2 not #1.
SRADBiggest raw forecast in the pool (fc_long 4h +64%, 1d +46%), pos_in_21bar_range 0% on 4h (deep discount entry), Wolfe Research initiated Outperform with $22 PT Sep 2, and Polymarket partnership expansion is a real catalyst. Docked for extreme short-horizon magnitudes (+60% on 4h fc_short looks like an outlier) and a −58% trailing year that reflects real business concerns; PE 214 is stretched.
Full ranking (15)
#SymbolVerdictScoreRead
1DOXBUY NOW8.0All-timeframe positive forecasts + cheap valuation (fwdPE 7.76) + positive Telefonica AI catalyst; buying breakout continuation with tight stop.
2CLVTBUY NOW7.4All-TF up (+24/+45/+68% weekly), fwdPE 2.7, low position in range, and insider bought $1.7M — highest asymmetric upside despite weak margins.
3SRADBUY PULLBACK7.0Largest forecast magnitudes and bullish_prob 1, but +60% 4h fc_short smells like an outlier; Wolfe Outperform PT $22 supports thesis.
4CPRTBUY PULLBACK6.3JPM upgrade Sep 3 and positive 1d/1wk long-horizon forecasts, but pos_in_range 98%+ across all TFs — wait for a pullback.
5PLBYBUY PULLBACK5.24h/1d fc calling +40% but 1wk turns negative and 10% owner just sold $3M — speculative micro-cap only.
6MTSIAVOID3.6Only 1h fc is positive; 4h/1d/1wk all bearish (−22 to −65% weekly) despite good fundamentals — model says the top is in.
7WPMWAIT3.41h barely positive but 4h/1d/1wk all sharply negative (−40 to −62% weekly); stellar business but forecast says top.
8VODAVOID3.052-week high headline but every forecast horizon negative (−15 to −49%) with pos_in_range 100% — classic top.
9EFXTAVOID2.8All TFs negative (−26 to −74% weekly long) despite fundamental_score 8; forecast overrides fundamentals here.
10HALOAVOID2.4RSI 72, pos_in_range 100%, and 1d/4h/1wk fc all call −37 to −55% — overextended.
11CMBTAVOID2.3RSI 76.84, pos_in_range 100% on every TF, and Kronos projects −37 to −47% across all horizons.
12MFGAVOID2.2Pos_in_range 100% and all forecasts −26 to −72% — model calling a top on the Japanese bank rally.
13LFSTAVOID2.0Perf year +132% and Simply Wall St calling it above fair value; every fc horizon −18 to −48%.
14PAYSAVOID1.6Insider selling + perf year +156% + forecasts −55 to −75% weekly — Kronos calling the top hard.
15PENGAVOID1.5PE 36,971, perf year +109%, and all forecasts −46 to −70% — extreme mean-reversion setup, avoid.

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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.