Today’s AI Top Pick: HURN
7/10/2026 · Low Float Bullish Consensus Deep Rotation screen · a free sample of K3vl4r’s AI-curated picks.
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Huron Consulting (HURN) is the cleanest combination of quality fundamentals AND confirming multi-timeframe tape in this pool. Fundamentally it scores 7/8: PE 17.5, fwdPe 10.03, PEG 1.08, ROE 23.27%, operMargin 11.77%, salesYoY +11.79%, recom 1.00 (unanimous strong buy), and 79.7% target upside — plus a fresh Simply Wall St. note flagging 'HURN faces a 44% undervalued view.' No dilution, no legal overhang, no short-seller report. Institutional ownership 107.61% signals crowded quality holders who have just been washed out (perfYtd -40.71%). The tape confirms without chasing. On the 1d, price sits at $102.51 with fc_short +21.07%, fc_mid +27.65%, fc_long +24.34%, pos_in_21bar_range 64% and only -6.33% off the high — momentum reasserting from a shakeout. The 4h shows fc_mid +45.73% / fc_long +48.21% with a 21-bar move of +11.24%, so intraday structure has already flipped. The 1wk is the tell: 21-bar move -22.06%, drawdown -29.22%, pos_in_range 22% — that is exactly the 'reasonable valuation + deep pullback + upward forecast (+13.6% mid, +20.13% long)' profile the lens is designed to catch. bullish_prob 1.0, near_term_bullish 1.0 — the model is unanimous. Why today, not later: 1h forecast is basically flat (+0.61% short) meaning we are NOT buying an extended candle — you get the entry before the 1d/4h forecasts play out. Compare to DCBO (fund 8 but pos_in_range 86-90% on 4h/1d — already stretched) and TASK (fund 5.75 but pinned at 100/100 on 1h and 4h — pure chase). MORN is a strong #2 but has weaker 1h/4h forecast magnitude. HURN gives you deep-value pullback + strong-buy consensus + tape that just turned + no bad news — that combo is rare across the 30-name list. Risks are contained: the -29% weekly drawdown means the primary risk is that the base isn't done, but the 1d structure has clearly stabilized (only -6% from high) and there are no negative headlines to worry about. Debt/Eq 2.23 is elevated for a services name but coverable with 22.5% oper margin.

- Debt/Equity 2.23 — leverage magnifies any consulting demand slowdown; watch for Q3 guidance
- 1wk drawdown -29.22% shows the multi-month trend is still repairing; a break of $93.50 invalidates the base
- PerfYear -25.65% and YTD -40.71% mean sentiment is fragile — one earnings miss could re-open the trap door
- 4h pos_in_range 76.6% means intraday is not deeply oversold; a shakeout to $98-100 is very plausible before the move
- Gross margin only 29.99% and profit margin 5.94% leave little cushion if utilization drops
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | HURN | BUY NOW | 8.6 | Fund 7, recom 1.0, all TFs pointing up with mid-range positioning and no negative news — the model pick. |
| 2 | MORN | BUY NOW | 7.9 | High-quality Financial with PEG 0.71 and 1wk fc +65/+68; positive PitchBook product news. |
| 3 | GPI | BUY NOW | 7.4 | FwdPe 6.4 deep-value auto retailer, 1d fc +13.5/+26.5, near_term 1.0, Evercore Outperform reiterated. |
| 4 | DCBO | BUY PULLBACK | 6.8 | Best fundamental_score (8), 1wk fc +108%, but 1d pos 90.8% — extended, wait for $17 handle. |
| 5 | AZO | BUY PULLBACK | 6.3 | Quality compounder with 1d fc +22.3% and pos 26%, but 1wk fc barely positive; debt offering announced. |
| 6 | TASK | BUY PULLBACK | 6.0 | PE 4.64, fwdPe 3.43, but pos_in_range 100/100 on 1h/4h — chasing, wait for pullback to $4.80. |
| 7 | NVR | WAIT | 5.4 | Quality homebuilder but bullish_prob only 0.4, recom 2.86, 1wk fc only -0.6/+12.6. |
| 8 | IDN | BUY PULLBACK | 5.2 | Russell inclusion positive, 4h fc_long +171%, but 1wk pos 0.91% — needs base confirmation. |
| 9 | SHOE | BUY PULLBACK | 5.0 | PE 11 small-cap value with SeekingAlpha bull piece; 1h/4h forecasts are zeros (data gap) so wait. |
| 10 | LBRDA | BUY PULLBACK | 4.9 | 1d fc +42/+78/+89 huge, but salesYoY -74.83% and profitMargin -1050% — speculative. |
| 11 | MBRX | WAIT | 4.6 | Positive MIRACLE trial commentary but stock dropped 25% on interim data — mixed signal. |
| 12 | GLMD | WAIT | 4.4 | 1wk fc +670% is a distorted micro; near_term only 0.4, tiny $4.4M cap. |
| 13 | DRMA | AVOID | 4.3 | 1wk fc +44,000% is a model artifact — do not chase. |
| 14 | EVGN | BUY PULLBACK | 4.2 | TAU drug-discovery deal is a real catalyst but profit margin -638%, 1wk dd -45%. |
| 15 | BCDA | WAIT | 4.0 | 1d fc +53% and near_term 1.0, but salesYoY -100% and 4h dd -29% — knife-catch. |
| 16 | GTBP | WAIT | 3.7 | 1d fc +75%, but 1h/4h short-term forecasts fading and 1wk data is zeros. |
| 17 | AMIX | AVOID | 3.4 | 1-for-21 reverse split June 24 — classic dilution/reverse-split warning. |
| 18 | GRCE | WAIT | 3.3 | Q4 EPS beat but bullish_prob 0.6 and 1wk dd -52%; not enough conviction. |
| 19 | QNTM | AVOID | 3.2 | 1wk fc -50/-66/-65 flatly contradicts short-term optimism; broken chart. |
| 20 | TRIB | WAIT | 3.0 | Product PRs are decent but 1d 21-bar -42% and profit margin -70%; base not built. |
| 21 | USBC | AVOID | 2.9 | 1wk fc +10,880% is nonsense; profit margin nulls, near_term 0. |
| 22 | FLYX | WAIT | 2.8 | Jet.AI merger just closed — post-deal digestion; RSI 31.9 oversold but no visibility. |
| 23 | PAPL | AVOID | 2.6 | Profit margin -160%, fwdPe 49.75, micro-cap with no visible catalyst. |
| 24 | PRSO | AVOID | 2.3 | $25M common-stock purchase agreement with Roth = active dilution overhang. |
| 25 | BCG | WAIT | 2.2 | PE 12.6 and profitable, but no forecast/near_term data richness and RSI 37 falling. |
| 26 | AGRZ | AVOID | 2.0 | 1h RSI 66, 1h fc -3.35% and 4h fc_short -27% — parabolic pop fading. |
| 27 | TOYO | AVOID | 1.9 | Fund 8 on paper but 1d 21-bar -50%, RSI 27.96, and just did a $50M dilutive offering. |
| 28 | TTEC | AVOID | 1.8 | Debt/Eq 11.65, profit margin -9.6%, shortFloat 32.61% — leveraged short-target. |
| 29 | LZMH | AVOID | 1.4 | PerfYear -99.35% and no fundamentals or forecasts — leave alone. |
| 30 | AIM | AVOID | 1.2 | ShortFloat 41.67%, profit margin -14,123%, PS 89.3 — pure lottery ticket. |
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