Today’s AI Top Pick: G
7/27/2026 · Lean Rider screen · a free sample of K3vl4r’s AI-curated picks.
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Genpact (G) is the cleanest 'lean rider' setup on the board today: strong fundamentals confirmed by an aligned multi-timeframe tape and a genuine positive catalyst — without the landmines that plague the other top-scored names. Valuation is compelling (PE 9.61, fwdPE 6.98, PEG 0.58, ROE 23.12%, profit margin 11.04%) with analyst target upside of 26.8% and fundamental_score 6.5. RSI is a healthy 56.86, room to run without being overbought, and the stock has been beaten up (-33.18% YTD, -30.66% 1Y), which is exactly the mean-reversion condition the lean_rider lens is built for. The tape confirms across every timeframe: 1h fc_short/mid/long +0.17/-0.36/+2.46, 4h +0.05/+9.77/+17.99, 1d +10.51/+20.13/+23.16, 1wk +6.85/+18.81/+35.52. Kronos bullish_prob is 1.0 with near_term_bullish 0.8. Critically, while the 1d position is 100% (breakout), the weekly is only 29.53% of range with a -18.73% drawdown from the 21-bar high — so the daily strength is a fresh push off a deep weekly base, not an exhausted chase. That's the ideal 'lean' geometry. The news flow is a positive tailwind, not a landmine: the 7/23 Banking Analyst Suite / Agentic AI launch and the 7/21 ISG Databricks Rising Star recognition give a fresh narrative on top of AI monetization — a scarce combination when most tech peers are digesting selloffs. Compare to the technically-similar peers: TCOM was just hit with a $700M China antitrust fine (thesis broken this week), EXE reports Q2 tomorrow (binary event risk), ACN and LDOS are at 100% of range on 1h/4h/1d with weaker fwd catalysts, and the gold miners (RGLD/KGC/WPM/PAAS) all show sharply negative weekly forecasts (-25% to -56%). Why today vs. waiting: the daily just broke to a new 21-bar high on a stock that is still -33% YTD and 29% of its weekly range — momentum is turning while the swing setup is still in accumulation. Waiting risks missing the base-to-second-stage transition; a tight stop below the 4h swing keeps risk defined.
- IT services sector has been under pressure — ACN is -47.82% YoY, LDOS -31.31%; if peers keep bleeding, G could get dragged despite better fundamentals
- Short float 10.09% is elevated — a broader risk-off day can accelerate downside
- Recom is 2.33 (only a 'moderate buy' — softer analyst support than TCOM at 1.44 or CEG at 1.44)
- 1d position at 100% of range means an initial pullback of 3–5% is very possible before the next leg — sizing should account for that
- Sales YoY only 6.47% — growth is modest; if the AI narrative doesn't translate to bookings quickly, multiple re-rating stalls
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | G | BUY NOW | 8.6 | All-TF bullish (1wk fc_long +35.52%), cheap (fwdPE 6.98, PEG 0.58), fresh AI catalyst, weekly still at 29% of range. |
| 2 | ACN | BUY PULLBACK | 8.2 | Explosive forecast (1wk fc_long +104%) on deep -45% YTD washout, but 1h/4h/1d all pinned at 100% — wait for a 3–5% pullback. |
| 3 | MAT | BUY NOW | 7.6 | Cheap (PE 9.05), full 4-TF alignment, 1wk fc_mid +29%, not extended, positive product news. |
| 4 | LDOS | BUY PULLBACK | 7.1 | Strong 1d fc_mid +52% and cheap fwdPE 8.57, but 1wk forecast slightly negative and 1h/4h/1d at 100%. |
| 5 | BSY | BUY NOW | 6.6 | Clean all-TF bullish (1wk fc_long +43.68%), high-margin SaaS, position 24–92% across TFs — good geometry. |
| 6 | TCOM | WAIT | 6.2 | Best fundamentals on the board (PE 6.87, margin 48%) but $700M China antitrust fine this week is a live overhang — let it settle. |
| 7 | EXE | WAIT | 5.8 | Cheap and strong-margin, but Q2 earnings TOMORROW makes it a coin-flip; 1wk forecasts also negative. |
| 8 | COIN | BUY PULLBACK | 5.7 | 1d fc_mid +39.7%, 1wk fc_long +32%, near_term 1.0 — narrative-driven, but expensive (PE 59.5) and mid-range position. |
| 9 | AWI | BUY NOW | 5.6 | Fresh $800M buyback authorization, all-TF bullish tape, ROE 36% — 1wk forecasts weak is the only caution. |
| 10 | LKQ | BUY NOW | 5.5 | 1wk fc_long +62%, all-TF bullish, cheap fwdPE 7.77, mid-range on daily — analyst PT cuts a mild drag. |
| 11 | CEG | WAIT | 5.2 | At 100% of 1d range but 1wk fc_long -17.4% and 1h forecasts negative — momentum fading. |
| 12 | ULTA | BUY PULLBACK | 5.0 | Great ROE 47%, near_term 1.0, but 1wk forecasts all negative — swing setup unresolved. |
| 13 | AVAV | BUY PULLBACK | 4.8 | 1d fc_long +62%, huge sales growth 141%, but unprofitable (-13% margin), high short float 10%, 1wk fc negative. |
| 14 | WPM | WAIT | 4.6 | Best-in-class miner margins (72% oper), but 1wk fc_long -51.6% is a red flag on the long horizon. |
| 15 | BSX | WAIT | 4.5 | Earnings imminent, deep -58% YoY drawdown, no forecast data — event-driven, defer. |
| 16 | TSCO | WAIT | 4.3 | Guidance cut and Petsense closures per 7/25 news — landmine confirmed; strong forecast is undercut by the actual fundamental deterioration. |
| 17 | RGLD | WAIT | 4.0 | Solid Q2 preliminary print but 1wk fc_long -43.7% conflicts with the daily strength — mixed signals. |
| 18 | KGC | WAIT | 3.9 | Cheap PE 10.1 and huge sales +43%, but 1wk fc_long -75.75% is a massive divergence. |
| 19 | PAAS | WAIT | 3.8 | Strong CANSLIM narrative, but 1wk fc_long -61.7% is untenable for a swing entry. |
| 20 | NRG | AVOID | 3.7 | PE 164, debtEq 4.79, 1wk fc_long -56% — expensive with deteriorating tape. |
| 21 | EQT | WAIT | 3.6 | near_term_bullish only 0.2, 1wk fc_long -26.65% — weakest near-term signal among the oil names. |
| 22 | TEL | WAIT | 3.5 | Decent fundamentals but expected return only 2.17% and mid-of-pack tape. |
| 23 | B | WAIT | 3.4 | Barrick cheap PE 10.22, but Simply Wall St flagged 15% overvalued on cash flow; miner headwinds echo. |
| 24 | BEKE | WAIT | 3.3 | China Real Estate — sales -8.9%, low near-term conviction, headline risk overhang. |
| 25 | RPM | WAIT | 3.0 | bullish_prob only 0.4, near_term 0.2, all forward forecasts turning negative despite Fermium upgrade. |
| 26 | AU | AVOID | 2.4 | bullish_prob 0.2, 1wk fc_long -85.66%, on a Zacks Strong Sell list — tape rolling over. |
| 27 | ERO | AVOID | 2.2 | bullish_prob 0, all forward forecasts negative, small cap $2.7B — broken setup. |
| 28 | AEIS | AVOID | 2.0 | bullish_prob 0, +115% YoY already stretched, 1wk fc_long -72.7% — classic 'top' setup. |
| 29 | DY | AVOID | 1.7 | bullish_prob 0, 1wk fc_long -71.95% despite data-center hype — tape says the run is done. |
| 30 | FIX | AVOID | 1.3 | bullish_prob 0, +208% YoY, 1wk fc_long -84.12% — most extended chart on the board. |
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