Today’s AI Top Pick: EH
6/30/2026 · Oversold High Growth screen · a free sample of K3vl4r’s AI-curated picks.
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EHang is the cleanest oversold-high-growth setup on the board. All four timeframes point up in the forecast: 1h fc_mid +50.0% / fc_long +64.7%, 4h +99.2% / +107.4%, 1d +112.7% short / +107.2% mid / +97.2% long, and 1wk +81.1% / +164.8% / +118.1%. That is rare multi-timeframe alignment with massive magnitude, and it is paired with kronos bullish_prob = 1.0 AND near_term_bullish = 1.0. Importantly, this is NOT a chase: position-in-range is 13.5% (4h), 4.9% (1d) and 3.3% (1wk), with drawdowns of -20% / -38% / -48% from the 21-bar high. The only stretched read is the 1h pos (82.5%) — a normal intraday bounce off a deeply washed-out base, not late-cycle euphoria. The catalyst tape confirms. On 6/23 EHang was selected for Hong Kong's 'Low-Altitude Economy Regulatory Sandbox X' trial — a real regulatory tailwind for the eVTOL commercialization story — and BofA reiterated Buy on 6/18. That is a clean, recent, fundamental catalyst that explains why the multi-timeframe model is leaning so hard bullish after the -45% weekly drawdown. None of the headlines hint at dilution, guidance cuts, fraud, or short-seller actions. Vs. the alternatives: ORCL prints 1wk fc_mid -4.7% and headlines flag its 'worst weekly slump since the 2001 dot-com bust' — disqualifying for #1. PLTR's 1wk forecasts are negative across the board (-21 / -57 / -8.9). KTOS 1wk is -37 mid / -20 long. XPEV and HSAI's 1h pos is 100% / 92% — chasing the bounce. KC's setup is the closest comp (1d fc_short +39.8%, 1wk dd -51%) but its 1h pos is 96.3% (right at the top), making intraday entry worse than EH. AVAV has the cleanest fundamental story (record-revenue Q4, 'unprecedented defense demand'), but its 1wk fc_mid is only +6.7% — a fraction of EH's payoff geometry. Why today, not later: EH is sitting at $6.33 with the 1d already 4.9% off the bottom of its 21-bar range and the 1h showing initial reversal momentum (pos 82.5%, drawdown only -1.1%). The model's short-horizon 1d forecast (+112.7%) and 4h (+99.2%) both fire NOW. Waiting risks missing the inflection where the catalyst (Hong Kong sandbox) translates into a multi-week mean-reversion move from the -48% weekly drawdown.

- Small-cap Chinese ADR ($351M market cap) — illiquidity and ADR/regulatory headline risk can produce 10-15% intraday gaps
- eVTOL commercialization is still pre-revenue at scale; the Hong Kong sandbox is a regulatory milestone, not a contract — disappointment risk if execution slips
- 1wk drawdown of -48.4% reflects a genuinely broken chart; a stop run below $5.50 could extend the downtrend before reversal completes
- Fundamentals block is entirely null in the data — RSI/EPS/Sales criteria are asserted by the screen but cannot be independently verified here
- Forecast magnitudes (1d +112%, 1wk +164%) are extreme and could partially reflect model overshoot on a deeply oversold base — sizing should be modest
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | EH | BUY NOW | 9.2 | All-timeframe bullish forecasts (1d +107% mid, 1wk +165% mid), deep drawdown (-48% wkly), low position in range, and a real catalyst in the Hong Kong eVTOL sandbox. |
| 2 | KC | BUY PULLBACK | 8.5 | Strong multi-TF bull setup (1d fc +39.8/+55.2, 1wk dd -51%) with positive 'buy the dip' coverage, but 1h pos at 96% says wait for pullback. |
| 3 | AVAV | BUY NOW | 8.2 | Record Q4, 'unprecedented' defense demand, 1d pos 3.4% / dd -32%, fc_mid +72% — best fundamental confirmation in the pool. |
| 4 | HSAI | BUY PULLBACK | 7.5 | 1d dd -27% / fc +35% and positive lidar coverage, but 1h pos 92% and weak 1wk forecast (+6-7%) argue for a better entry. |
| 5 | XPEV | BUY PULLBACK | 7.3 | 1d fc +33.8/+48.9, 1wk dd -36% / fc +47, autonomy roadmap catalyst — but 1h pos 100% is a hard chase signal. |
| 6 | SY | BUY PULLBACK | 7.0 | Huge forecasts (1wk fc_long +96%) on -55% weekly drawdown, but $122M micro-cap with no news flow — speculative size only. |
| 7 | CALX | BUY PULLBACK | 6.8 | 1d dd -10% / fc_mid +35%, positive AgenticAI partnership news; 1h pos 81% means wait for $34-$35. |
| 8 | GEVO | BUY PULLBACK | 6.5 | 1d fc +17/+28, 1wk fc_mid +90.8% on -42% dd, but 1wk fc_short is -1.1% — near-term wobble. |
| 9 | PCT | WAIT | 6.3 | 1d dd -45% / fc_mid +26.5%, but near_term_bullish only 0.2 and bullish_prob 0.8 — momentum still down. |
| 10 | STEP | BUY PULLBACK | 6.1 | 1d fc +13.8/+28, 1wk dd -27%, bullish_prob 1.0 — solid but unspectacular setup. |
| 11 | UWMC | BUY PULLBACK | 6.0 | 1wk dd -54% / fc_mid +129%, KBW upgrade catalyst, but $2.10 lottery-ticket structure. |
| 12 | PROP | WAIT | 5.7 | 1wk fc_long +1489% is an extreme outlier on a $0.70 stub with a CEO change — too speculative for #1 sizing. |
| 13 | GOGO | WAIT | 5.5 | 1d/1wk fc are massive (+118 / +274) but 4h fc_long -21.5% disagreement and bullish_prob 1 with no recent material catalyst. |
| 14 | KTOS | WAIT | 5.2 | Defense story is intact but 1wk forecasts are negative (-37 mid / -20 long) — broken longer-term trend. |
| 15 | PLTR | WAIT | 5.0 | 1d fc only +23 mid and 1wk fc decisively negative (-21/-57/-8.9); mixed analyst tone post-slump. |
| 16 | ASST | WAIT | 4.9 | BTC-treasury narrative with 1wk fc +459 mid is unverifiable; 1d fc_short -26.6% says momentum still bleeding. |
| 17 | VFS | WAIT | 4.7 | 1wk forecasts negative across the board (-6.5/-19/-17) plus 'intense competition' SA piece — broken. |
| 18 | BMNR | WAIT | 4.5 | Bitcoin/ETH treasury play hitting fresh lows with crypto weakness; no bullish_prob, no weekly TF available. |
| 19 | VNET | WAIT | 4.3 | 1wk fc_long -15.3% and a settlement headline raise governance flag despite oversold 1wk dd -45.6%. |
| 20 | JEF | WAIT | 4.2 | 1wk forecasts marginal (-4.1/-2.8/+3.9), near_term_bullish only 0.4 — no edge. |
| 21 | ARES | WAIT | 4.0 | Decent forecasts (1d fc +13/+24) but Reuters story about capping withdrawals at flagship $23B fund is a real headline risk. |
| 22 | DVLT | WAIT | 3.8 | Datavault/BTC story is interesting but no forecast/range data shown in the candidates block — can't validate. |
| 23 | ORCL | AVOID | 3.5 | 1wk fc_mid -4.7% and headline-confirmed 'worst weekly slump since 2001 dot-com bust' — falling knife. |
| 24 | DRD | AVOID | 3.2 | 1wk fc_short -17.6 / fc_mid -51.6 — trend is broken despite the CAN SLIM coverage. |
| 25 | GILT | AVOID | 3.0 | Despite the $43M contract win, bullish_prob = 0 and no forecast data shown — model rejects the setup. |
| 26 | PLUG | AVOID | 2.8 | 1d fc -8.2/-14.5/-22.2, bullish_prob 0.2, near_term_bullish 0 — broken. |
| 27 | RES | AVOID | 2.5 | bullish_prob 0, 4h/1d forecasts negative, 'Forced Fresh Start' SeekingAlpha framing — distressed. |
| 28 | AAUC | AVOID | 2.3 | 1d fc -5.2/-5.6/-30.2, bullish_prob 0; merger-arb name with limited upside. |
| 29 | ECVT | AVOID | 2.0 | No multi-TF forecast data available; bullish_prob 0. |
| 30 | PL | AVOID | 1.5 | 1d fc -19/-60/-58, 1wk fc -51/-84/-78, 'crushed by SpaceX' narrative — model and tape both bearish. |
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