Today’s AI Top Pick: DOX
7/7/2026 · Undervalued Oversold 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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Amdocs (DOX) is the cleanest multi-timeframe alignment in the entire pool. Every single timeframe — 1h, 4h, 1d, and 1wk — has POSITIVE forecasts across short, mid, AND long horizons: 1h (3.02/22.41/18.52), 4h (1.38/43.66/48.32), 1d (48.69/41.38/33.87), 1wk (24.09/56.94/58.72). No other candidate in this screen has 12-of-12 positive forecast cells. Bullish_prob is 1 and near_term_bullish is 1, so the model is unambiguous. Crucially, the setup is not chased. DOX sits at only 19.21% of the 1d range and 2.01% of the 1wk range, with a -25.48% weekly drawdown and -13.74% daily drawdown — deep enough to matter, shallow enough that momentum hasn't fully rolled over on the shorter frames (1h and 4h are actually up 1.69% and 2.25% recent-21bar). That combination — oversold on the weekly, basing on the daily, and turning on the hourly — is textbook for a reversion entry. Fundamentals corroborate. FwdPe 6.36 is the second-lowest in the pool, PEG 0.68, profitMargin 11.57%, ROE 15.64%, debtEq 0.32 (clean balance sheet), recom 1.86, and analyst targetUpsidePct 65.2%. The -36.33% YTD and -44.64% one-year performance is exactly why it passed the value_oversold lens; the tape is now signaling this is priced in. News is neutral-to-mildly-positive (Keybanc initiation, dividend-value screener mentions) with no landmines — no guidance cut, no legal issues, no dilution. Why today vs. waiting: ORCL and BABA carry news headwinds (BABA has the Beijing AI-model curb story literally today, which is a materially negative catalyst), MAT's 1h fc_short of +2898% is a broken outlier that discredits the near-term signal, and T is already at 87.97% of its 1h range (chasing risk). DOX has none of those problems. The 1d fc_short of +48.69% and 1wk fc_long of +58.72% offer the biggest asymmetric payoff in the pool with the cleanest signal.
- Sales YoY is -2.71% — top-line is shrinking; a follow-up miss could re-rate the multiple lower even from fwdPe 6.36
- ShortFloat 8.27% is elevated, meaning conviction bears are still positioned; a squeeze helps, but a weak print gets punished
- Perf1Y of -44.64% means it's a falling knife until confirmed — buyers here are catching it before a base is fully formed
- Sector Weight (neutral) initiation from Keybanc last week signals Street is not aggressively upgrading yet
- Instown 98.92% means the marginal buyer has to be new institutional money — retail flows won't move this
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | DOX | BUY NOW | 8.5 | All 12 forecast cells positive, fwdPe 6.36, sitting at 2% of weekly range — cleanest setup in the pool. |
| 2 | ORCL | BUY NOW | 7.7 | Analysts 'screaming buy' post-losing-streak, roe 54% and 1d fc +21.6/+28.3/+25.9 at only 6.4% of daily range. |
| 3 | MAT | BUY NOW | 7.2 | Deepest oversold (0% of weekly range) with all-TF bullish; 1h outlier +2898% is a noise flag but weekly fc +25.9/+50.6/+49.9 is real. |
| 4 | T | BUY PULLBACK | 6.9 | FwdPe 8.1, roe 20%, near_term 1, but 1h at 87.97% of range — wait for a dip to $20.20 rather than chase. |
| 5 | BABA | BUY PULLBACK | 6.4 | PEG 0.26 and targetUpside 96.3%, but same-day Beijing AI-model curb + Claude Code drop headlines are fresh landmines. |
| 6 | GRNT | BUY PULLBACK | 5.7 | All TFs positive and 1wk fc_long +53.6%, but roe -5.58% and 'warning signs' headlines cap conviction. |
| 7 | ICL | WAIT | 5.4 | Bullish_prob 0.8 and 1wk fc_mid/long +17.8/+20.4, but recom 3.2 (hold) and pe 25 dampen the value thesis. |
| 8 | LPL | WAIT | 5.2 | Bullish_prob 1 and PEG 0.08, but roe -0.77% and salesYoY -9.9% — turnaround, not confirmed. |
| 9 | OEC | WAIT | 5.0 | Bullish_prob 1 and 1wk fc_mid +207%, but recom 3.5 (sell-side hold), roe -21%, debtEq 2.67 — high-risk lottery. |
| 10 | FLOC | WAIT | 4.9 | Rsi 25.4 and no weekly TF; bullish_prob is null so signal quality is compromised. |
| 11 | MGY | WAIT | 4.7 | Bullish_prob 0.6 but near_term 0 and 1d fc_short -3.31%; wait for actual reversal. |
| 12 | CMC | WAIT | 4.4 | Fundamental_score 7.25 but 1wk fc -7.6/-20.8/-18.2 — trend is deteriorating despite the screen pass. |
| 13 | AA | WAIT | 4.1 | South32 deal is a positive catalyst but 1wk fc -9.1/-23.2/-9.3 and bullish_prob 0 argue for patience. |
| 14 | DVN | WAIT | 3.8 | Fundamental_score 7.75 undercut by bullish_prob 0 and 1d fc -6.5/-4.8/-15.2 — pure value trap risk. |
| 15 | HAL | WAIT | 3.6 | Rsi 26.87 oversold but 1d/1wk forecasts negative and bullish_prob 0. |
| 16 | CNQ | WAIT | 3.4 | 1d fc -9/-8.8/-17.4 with bullish_prob 0 — fundamentals fine but the tape says lower. |
| 17 | NE | WAIT | 3.3 | Insider $2.28M sale + Citi PT cut + weekly fc -8.4/-12/-26 is a bad combo despite the RSI 26. |
| 18 | MLI | WAIT | 3.2 | Debt-free balance sheet and 1wk fc +31.9/+26.5/+34.8, but daily forecasts negative and bullish_prob 0. |
| 19 | COP | AVOID | 3.0 | Every timeframe beyond 1h has negative mid/long forecasts; bullish_prob 0. |
| 20 | FANG | AVOID | 2.8 | Ttm pe 195.88 and 1wk fc -3.8/-16.6/-15.4 — screen artifact, not a real value setup. |
| 21 | SU | AVOID | 2.6 | 1wk fc -16.4/-39.6/-30.6; recent shelf prospectus = dilution overhang. |
| 22 | ECVT | AVOID | 2.5 | ProfitMargin -7.87%, 1wk fc_mid -24.4%, bullish_prob 0. |
| 23 | SLB | AVOID | 2.4 | 1wk not shown, but 1d/4h forecasts flat-to-negative and bullish_prob 0.2 — Kuwait deal already priced. |
| 24 | NOV | AVOID | 2.3 | Pe 74.62, profitMargin 1.05%, 'skeptical of' headline coverage — screen pass on fwdPe alone. |
| 25 | VIST | AVOID | 2.1 | 1wk fc -15.3/-45.7/-34.5 crushes the value thesis; bullish_prob 0. |
| 26 | PBR-A | AVOID | 2.0 | 1wk fc -21.9/-48.1/-24.7 and epsNextY -11.72% — dividend trap. |
| 27 | PBR | AVOID | 1.9 | Same story as PBR-A with fc -15.1/-38.1/-32.0 on the weekly. |
| 28 | ARW | AVOID | 1.8 | Recom 3.0 (hold), 1d fc -30/-32/-33 and 1wk fc -37/-36/-33 — screen pass masks a real breakdown. |
| 29 | SNX | AVOID | 1.5 | Weekly fc -42.7/-49.3/-48.2 after a +48.8% weekly run — classic blow-off distribution. |
| 30 | TOYO | AVOID | 1.3 | Just did a $50M offering (dilution), shortFloat 42.79%, 1d fc -3.9/+2.8/-22.1 — stay away. |
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