Today’s AI Top Pick: INTU

7/21/2026 · Model Aligned screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Model AlignedINTUBUY NOW8.7 / 107/21/2026

Intuit is the cleanest setup in the pool today: bullish_prob 1.0, near_term_bullish 1.0, and full multi-timeframe alignment where the model expects meaningful upside on every horizon (1h fc_short +5.42%, 4h fc_short +8.75% / long +73.05%, 1d fc_short +24.05% / mid +75.72% / long +115.26%, and 1wk mid/long +53.34%/+101.49%). Crucially, the entry is NOT extended — position_in_21bar_range is 0% on the 1h and only 39.5% on the 4h, with a punishing -41.17% recent_21bar drawdown on the weekly. You're buying a high-quality name that has already been beaten down, not chasing a breakout. Fundamentals are the strongest in the actionable pool with a fundamental_score of 8: PE 17.79, fwdPE 10.74, PEG 0.70, ROE 22.5%, profitMargin 21.9%, salesYoY +15.07%, epsNextY +14.82%, debtEq 0.33, analyst recom 1.71 and targetUpsidePct +56.2%. That combination — reasonable valuation, high margins, low leverage, and analyst support — is rare in a name that's also down ~55% YTD and washing out. News flow is supportive rather than hazardous: L1 Capital International explicitly called the recent decline a market overreaction, TurboTax Live is being highlighted as offsetting DIY choppiness, and SeekingAlpha framed this as an entry point for long-term dividend growth investors. There is no landmine (no guidance cut, no legal issue, no dilution). Contrast this with CDE (Iran-linked silver selloff + a bearish 1wk fc_long of -69.33%), FUBO (shares actively sliding per StockStory), BE and MTSI (near-term forecasts turn deeply negative on 1d/1wk), and COHR (fc_long -80% on the weekly). INTU is the only name combining screen match, bullish confluence, deep-value drawdown, and clean headlines. Why today, not later: 1h is pinned at pos_in_range 0% with -2.98% recent_21bar_pct — that's the definition of a local capitulation into which the model projects a bounce. Waiting for confirmation likely means buying up 5-8% at worse risk/reward. The 4h and 1d forecasts confirm the reversal thesis, and the weekly drawdown provides a wide margin of safety.

INTU forecast chart
Entry zone
$278 - $284 (scale in at $280.96 current with a starter, add on dip toward $278)
Stop loss
$262 (below the 1wk drawdown floor; ~6.7% risk)
First target
$310 (fills 4h fc_short/mid alignment, ~10% upside)
Longer target
$370 - $400 (aligns with 1d fc_mid +75% context and analyst targetUpside +56.2%)
Risks
  • 1wk fc_short is only +11.33% vs. -41.17% recent_21bar drawdown — the weekly downtrend is not yet confirmed broken
  • 1h pos_in_range is 0% which can signal continuation lower before the bounce; a flush to $270-275 is possible
  • Broad software/tech tape is choppy — a sector-wide risk-off day would override the single-name setup
  • Earnings-related tape risk given -55.64% YTD suggests fundamental concerns the market is pricing in (competitive pressure on TurboTax DIY)
  • PEG 0.70 and fwdPE 10.74 are cheap relative to history but depend on epsNextY +14.82% actually materializing
Honorable mentions
TSCOFull screen match (bullish_prob 1, near_term 1), 1h pos 0% and 1wk pos 2.25% — deeply washed out, not chasing. 1d fc_short +16.32%, fc_mid +64.18%, fc_long +68.78%. ROE 45.5%, PEG 2.39 is the only blemish. Clean news.
PMTFull alignment (bullish_prob 1, near_term 1) with fundamental_score 6.5, PE 8.41, fwdPE 6.56, PEG 0.39. Forecasts modest but consistent (1d fc_mid +12.05%). Debt/equity 10.87 (mREIT structural) is the caution — smaller magnitude trade than INTU but low-drama.
Full ranking (23)
#SymbolVerdictScoreRead
1INTUBUY NOW8.7Full multi-TF alignment, fundamental_score 8, pos_in_range 0% on 1h and 7% on 1wk — deep-value washout with +75% 1d fc_mid and clean news.
2TSCOBUY NOW7.9Screen match + 1h pos 0%, 1wk pos 2.25%, 1d fc_mid +64%, ROE 45.5% — deep washout in a quality retailer.
3PMTBUY NOW7.2All-TF bullish, fwdPE 6.56, PEG 0.39, 4h fc_long +21.4% — steady mREIT setup with modest but consistent forecasts.
4DOCSBUY PULLBACK6.8Massive 1d fc_mid +94% and bullish_prob 1, but 1h pos 87% means chasing; wait for a dip to $20.50-21.
5CMCSABUY NOW6.6Bullish_prob 1, PE 4.68, 1d fc_mid +16.77%, positive Odyssey catalyst; 1d pos 80% is the only knock.
6SBACBUY NOW6.4Bullish_prob 1, near_term 1, 4h pos 0%, Wells Fargo upgrade — clean setup with modest forecasts.
7CDEBUY PULLBACK6.2Fundamental_score 8, screen match, but 1h pos 100% + Iran-tension silver selloff + 1wk fc_long -69% weekly forecast is a red flag.
8ERIEBUY PULLBACK5.6Bullish_prob 1 with 1d fc_mid +27.6%, but fundamental_score 0.75 and targetUpside -48.9% cap conviction.
9EDUWAIT5.4Bullish_prob 1 and clean fundamentals (score 7.25) but pos_in_range 100% on 1d — extended, wait for pullback.
10NRGBUY PULLBACK5.2Bullish_prob 1 and solid fundamentals, but 1h fc_short is -1.09% and earnings imminent — wait for the report.
11FUBOWAIT4.9Huge 1d fc_long +270% but shares actively sliding per news, operMargin -5.33%, fundamental_score 2.5 — speculative.
12EROWAIT4.6Fundamentals strong (score 8) but bullish_prob only 0, 1d/1wk forecasts negative — model doesn't confirm.
13TEMWAIT4.4M&A catalyst (Personalis $1.5B) and near_term 0.8, but fundamental_score -1, profitMargin -22%, 32% short float.
14SKR-USDWAIT4.2Highest expected_return_pct 45%, but 1d fc_long -92.75% is a massive divergence — untrustworthy signal.
15VALEWAIT4.0Bullish_prob only 0.2, 1d/1wk forecasts negative, Scotia lowered PT — no confirmation.
16XLM-USDWAIT3.81h pos 100% with 1h fc_short -0.86% and bullish_prob 0.2 — extended crypto with weak forecast.
17SLBWAIT3.6Bullish_prob 0, 1d/1wk forecasts negative, dipping harder than market per news — avoid despite decent fundamentals.
18DLRWAIT3.5Bullish_prob 0.2, all daily/longer forecasts negative, earnings-driven volatility ahead.
19GMEWAIT3.3Bullish_prob 1 but only 1h TF available, targetUpside -38%, recom 3.0 — sparse signal, weak analyst support.
20MTSIAVOID2.61d fc_mid -31.5%, 1wk fc_mid -52%, bullish_prob 0 — model calls for continued decline.
21COHRAVOID2.41wk fc_long -80.83%, bullish_prob 0, 1h pos 94% — extended into a bearish model call.
22BEAVOID2.21d fc_long -67.5%, 1wk fc_long -82.9%, bullish_prob 0 — parabolic +689% YoY reversing.
23FARTCOIN-USDAVOID1.8Meme crypto with prior liquidation/manipulation headlines and 1d forecasts turning negative.

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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.