Today’s AI Top Pick: HSAI

7/13/2026 · Swing Setup screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Swing SetupHSAIBUY NOW8.7 / 107/13/2026

HSAI is the cleanest multi-timeframe setup in the pool: every single forecast horizon points up — 1h fc_mid +17.26% / fc_long +18.69%, 4h fc_mid +27.54% / fc_long +39.41%, 1d fc_mid +46.65% / fc_long +44.5%, and even the 1wk is positive at +7.05% / +7.77%. That is the rare 'all four green' alignment the mandate calls gold. Bullish_prob and near_term_bullish both read 1.0. Crucially, you're not chasing. Position in 21-bar range is 0% on 1h, 28.1% on 4h, 27.2% on 1d, and 8.9% on 1wk — this is buying at the low end of every window, not the high. Drawdown from weekly high is -41% and the daily is -15.4% from its high, meaning the setup is a deep-pullback-with-turning-forecasts rather than a breakout chase (contrast MNDY, at 90-95% of range on 3 of 4 timeframes, or CALX at 99.76% of 4h range). Fundamentals confirm: salesYoY +44.14%, epsNextY +68.61%, profitMargin 14.76%, debtEq only 0.11, PEG 0.43, fwdPe 18.29 — reasonable growth-at-a-price. Analyst recom 1.27 (near strong buy) with 85.8% target upside is the second-highest analyst backing in the group behind BMNR/EQX. The recent 6/25 Insider Monkey piece ('Inspires Confidence with Lidar Solutions') is a mild positive; no landmine headlines (compare FUTU's DOJ probe and class actions from 7/3, which alone knocks it off the podium despite a similarly strong forecast). Waiting is worse than buying today because the 1h is already forecast +6.73% short-horizon from a position-in-range of 0 — the low is arguably in. If you wait for a bigger pullback you're fighting a fresh higher-lows structure on the 4h/1d forecast tape.

HSAI forecast chart
Entry zone
$15.50–$16.10 (starter at $15.88 spot, add on any dip to $15.00–$15.30 above the 1h swing low)
Stop loss
$13.95 (below the 1h 21-bar low; ~-12% risk from $15.88, aligned with weekly DD floor)
First target
$18.30 (+15%, aligns with 4h fc_mid and closes the recent daily gap)
Longer target
$22.00–$23.20 (+38% to +46%, aligns with 1d fc_mid/long and only ~30% of round-trip to prior weekly high)
Risks
  • China ADR / regulatory overhang — HSAI is a Chinese lidar name; any US-China escalation can override the technical setup regardless of a 44% salesYoY
  • Weekly DD -41.08% means the longer-term trend is still down; a break of $13.95 would confirm continuation, not reversal
  • TTM PE of 289 and operMargin of only 0.7% mean any earnings disappointment gets punished hard despite the 18x fwdPe
  • Short float 6.15% is manageable but the stock is volatile enough that a fast squeeze/unwind can whip the entry zone by 5-8% intraday
  • 1wk forecast is only +7% vs. the 4h/1d showing +27% to +46% — the very long tape is the weakest link; if 1wk doesn't lift, the daily forecast may not fully play out
Honorable mentions
SRADFundamental_score 8, near_term_bullish 1.0, 1d forecast +22.4%/+31.8%, position_in_1h_range only 3.45% (not chasing), recom 1.36. Weakness: 1wk forecast is negative (-7.72% mid) — that's the only reason it's #2 not #1.
STEPCleanest 'no red' near-term tape: 1h/4h/1d all forecast positive (+4.85/+14.55/+30.26 mid), near_term_bullish 1.0, position_in_1d_range only 38.9% (room to run), salesYoY +69.89%. Held back by ROE -750, negative operMargin, and Barclays PT cut on 7/9.
Full ranking (29)
#SymbolVerdictScoreRead
1HSAIBUY NOW8.7All 4 timeframes forecast positive, at 0-28% of every intraday range, fwdPe 18 with 44% sales growth — textbook screen+tape confluence.
2SRADBUY NOW7.9Near-term bullish 1.0, 1d fc +22%/+32%, position_in_1h_range 3.45% — buying the wash-out with positive forecast turning.
3STEPBUY NOW7.61h/4h/1d all green (+4.85/+14.55/+30.26), near_term_bullish 1.0, salesYoY +69.9%; only knock is weekly softness.
4TMDXBUY PULLBACK7.2Massive 1d forecast (+69% mid/+71% long), ROE 45%, profitMargin 27% — but weekly DD -50.85% and analyst PT cuts warrant waiting for a base.
5AVAVBUY PULLBACK6.91d forecast +58%/+65% from position_in_range 14.9%, salesYoY +140% — deep-pullback candidate but negative margins raise entry timing importance.
6CALXBUY PULLBACK6.71d fc +21.8%/+32%, positive 'beat estimates' headlines, but 4h position_in_range 99.76% — extended, wait for a 4h reset.
7KCBUY PULLBACK6.41d fc +43%/+38%, near_term_bullish 1.0, recom 1.07 — but 4h position 96.55% and weekly forecasts negative.
8KVYOBUY PULLBACK6.21d fc +28.65%/+35.6%, near_term_bullish 1.0, but 1h forecast negative and 1d position 95% of range.
9CELHBUY PULLBACK6.01d fc +56% mid, salesYoY +123%; 1h/4h forecasts negative near term and Needham cut PT — better on a fade.
10MNDYWAIT5.81wk fc_mid +132% is an obvious extreme outlier; position 90-95% of range across 4h/1d/1wk — chasing.
11FUTUWAIT5.61d fc +58% and roe 28% look great, but 7/3 DOJ probe and class actions are a live landmine — screen doesn't override that.
12TARSWAIT5.3Solid 1d/4h forecast lift but just did a $565M acquisition (iRenix) — dilution/integration risk to price in.
13HMYBUY PULLBACK5.1Cheap gold miner (fwdPe 4, PEG 0.09), but 1wk forecast is -43%/-63% — tape says the gold rally is exhausted.
14LEGNWAIT5.0bullish_prob 0.4, near_term_bullish 0.2, 1d fc_short -5.94% — screen passes but signal weak.
15CHYMWAIT4.91d fc +11.9% is modest and 1h/4h short-term negative; index inclusion pop already priced in.
16KRMNWAIT4.81d fc +34.5% mid decent but 1h forecast negative and valuation stretched (fwdPe 54, PS 12.68).
17CNRWAIT4.7Near_term_bullish 0.8 but weekly forecast turns negative and gross margin only 0.76% — commodity coal risk.
18TTANWAIT4.61d fc +24.66% mid but position 90.2% of daily range, 4h/1h forecasts negative — extended.
19BKVWAIT4.5Weak forecast magnitude (1d +1.3% mid) and 'dilution fears' headline — thesis on hold.
20CAIWAIT4.41d fc +26%/+47% is intriguing but no weekly data, profitMargin -45%, only 1.5 fundamental score.
21SAILWAIT4.21d fc +40% mid but 7/10 insider selling headline and short float 27.58% — landmine risk.
22EQXWAIT4.01d fc +18% but 1wk fc_long -41% and position 0% of weekly range — knife falling.
23BMNRWAIT3.9Crypto proxy with PS 510 and profitMargin -51,998%; SeekingAlpha 'discount is dangerous' article is a caution flag.
24GILWAIT3.81wk forecast -20.8% long and position 0-3% of every range — no reversal signal yet.
25SAROAVOID3.4bullish_prob 0.2, 1d fc_long -2.47%, 4h forecast negative — tape rejecting the screen.
26IRTCWAIT3.3Fundamental_score -0.25 (weakest in pool), fwdPe 105, debtEq 4.52 — screen passes on growth but quality is poor.
27ARISAVOID2.71wk fc_long -72.6%, bullish_prob 0.4, 'Strong Sell' Zacks headline from 6/18 — broken.
28TPCAVOID2.41wk forecast -80.59% long, bullish_prob 0, plus $42.4M Philly hotel legal hit — avoid.
29TGBAVOID2.0All forecasts across 1h/4h/1d/1wk turn negative; 4h at 100% of range with fc_long -10.31% — classic top.

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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.