Today’s AI Top Pick: GPI

8/26/2026 · Low Float Bullish Consensus Deep Rotation screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Low Float Bullish Consensus Deep RotationGPIBUY NOW8.4 / 108/26/2026

Group 1 Automotive (GPI) is the cleanest setup in this pool: it's the only candidate with three timeframes (4h, 1d, 1wk) that ALL point up, and it pairs that with the only genuinely investable fundamentals block in the screen. Forecasts are strong across horizons — 4h fc_short 35.98% / fc_mid 39.01% / fc_long 36.62%, 1d fc_short 10.34% / fc_mid 37.49% / fc_long 34.85%, and the 1wk still positive (2.07% / 10.82% / 12.26%). That short/mid/long consistency is exactly the multi-timeframe agreement the lens is built to reward, and bullish_prob is 1.0 with near_term_bullish also 1.0. Critically, you are NOT chasing. Price at $264.81 is sitting at just 16.68% of 4h range, 13.71% of the daily range, and 3.1% of the weekly range, with a -26.02% drawdown from the 21-bar high. This is a beaten-down cyclical (perfYtd -32.67%, perfYear -43.7%) that the forecast models are now calling for mean-reversion on — the ideal 'low in range + bullish forecast' pattern rather than a stretched breakout. Fundamentals confirm: PE 11.04, fwdPe just 6.03, PEG 0.84, ROE 9.4%, positive profitMargin 1.29%, salesYoY still positive, targetUpsidePct 38%, instOwn 101.99% (heavy institutional sponsorship), and fundamental_score 5.5 — the highest in the entire pool. The Aug 19 Barclays note maintaining Overweight (albeit with a trimmed $365 PT) is a supportive catalyst, not a landmine. NXTC has a stronger long-horizon forecast (83.66% 1wk long) but just missed Q2 EPS ($-2.80 vs $-1.94 est.) and is a cash-burning micro-cap biotech; BESS shows an extreme 4h fc_short of 90.27% that looks like a single-bar outlier, with 1d fc_short actually NEGATIVE (-1.87%) and near_term_bullish only 0.4 — classic 'passes the screen on paper, tape is mixed'. GPI wins on quality and today is the right entry because you're buying at the bottom of every timeframe's range with analyst, fundamental, and forecast confluence.

GPI forecast chart
Entry zone
$262–$268 (buy at market near $264.81; add on any dip to $260)
Stop loss
$247 (below the 21-bar low, ~6.7% risk — invalidates the mean-reversion thesis)
First target
$295–$305 (~+12–15%, aligns with 1wk fc_mid and fills recent daily gap)
Longer target
$355–$365 (~+34–38%, aligns with 4h/1d fc_mid/long ~37% and Barclays $365 PT)
Risks
  • High debtEq of 1.96 makes GPI sensitive to auto-cycle downturn and rate stress; a weak consumer print could re-test $247
  • shortFloat 10.02% — squeeze potential is a positive but also signals bearish institutional positioning
  • perfYear -43.7% shows a persistent downtrend; the tape has to actually turn — RSI 41 is neutral, not oversold
  • Barclays trimmed PT from prior level to $365 on 8/19 — sell-side is still cutting numbers even while rated Overweight
  • Weekly fc_short only +2.07% suggests the biggest move is mid-horizon, not immediate; expect chop before trend
Honorable mentions
NXTCStrongest long-horizon forecast in pool (1wk fc_long +83.66%) with recom 1 and targetUpsidePct 280.7%, but Aug 6 Q2 EPS miss ($-2.80 vs $-1.94) and cash-burn profile (ROE -195%) make it a speculative biotech lottery ticket, not a conviction buy
BESSBullish narrative (Zach Dell battery storage story, $6.4M cash receipt) and 4h fc_short 90.27%, but 1d fc_short is negative (-1.87%) and near_term_bullish only 0.4 — multi-TF signals disagree, wait for cleaner setup
Full ranking (3)
#SymbolVerdictScoreRead
1GPIBUY NOW8.4Multi-TF bullish alignment, deep in range at 3–17% percentile, best fundamentals in pool (fwdPe 6.03, PEG 0.84), Barclays Overweight — textbook mean-reversion entry
2NXTCBUY PULLBACK6.2Massive 1wk fc_long +83.66% and recom 1, but recent EPS miss and only 2 TFs available — wait for a retest of lows before adding
3BESSWAIT5.3Extreme 4h forecast (+90%) contradicted by negative 1d fc_short and near_term_bullish only 0.4 — signals disagree, single-bar outlier risk

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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.