Today’s AI Top Pick: INTU
8/10/2026 · Reliable Bullish screen · a free sample of K3vl4r’s AI-curated picks.
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Intuit is the cleanest multi-timeframe setup in the pool that ALSO has a real fundamentals story behind it. On the daily, forecasts step up 13.72% short / 41.88% mid / 88.86% long, and the weekly is even more emphatic (7.62% / 38.42% / 91.83%). 4h agrees with fc_long +24.9%. The only wobble is the 1h forecast (fc_long −6.51%), which actually helps — you're not chasing a spike; the higher timeframes dominate and the 1h just signals consolidation, which is a feature not a bug for entry. Position in range is where INTU really separates from the pack. Weekly pos_in_21bar_range is 35.8% with a −23.5% drawdown from the 21-bar high, and the daily sits at 76.87% — meaning you're buying inside a well-established weekly reset, not at the top. Contrast that with TRMB, BR, ACM, PDD, SE, all pinned at 100% of range with weaker forward forecasts. INTU is the rare 'strong forecast + deep drawdown + still trending up' combination. Fundamentally, this is one of the highest-quality names on the list. FwdPE 11.87 vs trailing 19.69, PEG 0.78, ROE 22.5%, profit margin 21.9%, sales YoY 15%, debt/equity 0.33, and instOwn 87%. This is a durable compounder that has been beaten down 57% over the year, giving mean-reversion ammo without the balance-sheet risk you see in names like STEP (roe −750, opMargin −54) or ADTN (analyst target cuts). Bullish_prob 1, near_term_bullish 1, recom 1.89, targetUpside 35.7%. News is neutral-to-positive (ERP partnership expansion, no landmines), unlike TCOM (China curbs OTA power — direct regulatory hit), FUTU (DOJ probe/HK SFC asset freeze), APP (stock plunged 20% on earnings with weekly fc_long −66.7%), or ALHC (lawsuit-driven accounting questions). Today is the entry because the daily/weekly forecasts are ramping while price is still 23.5% off the weekly high — waiting risks buying after the base breaks out.

- 1h fc_mid −4.84% and fc_long −6.51% — near-term chop could shake out early entries before the 1d/1wk thesis plays out
- Weekly drawdown is −23.5% and stock is down 57% YoY; a broken base could accelerate lower if $298 fails
- FwdPE 11.87 is cheap for INTU historically but tax software / SMB spend is macro-sensitive; a soft consumer print could delay the mean reversion
- Broad tax-software / AI-agent narrative risk (see GDDY 'losing confidence in AI strategy' headline) could bleed into INTU sentiment
- Position 76.87% on the daily means chasing intra-day highs is punished — respect the entry zone
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | INTU | BUY NOW | 8.6 | Multi-TF alignment with 1d/1wk fc_long ~89–92%, weekly at 36% of range, PE 19.7/fwdPE 11.9 — the cleanest quality-plus-signal combo. |
| 2 | MMS | BUY NOW | 8.0 | All timeframes up, cheap (fwdPE 6.7), 1wk at 36% range with −13% drawdown, targetUpside 68.9%, Q3 already reported. |
| 3 | TME | BUY NOW | 7.8 | 4h/1d fc_long +64%/+77%, weekly forecast +17%, PE 11.6, opMargin 30%, no negative headlines. |
| 4 | NICE | BUY NOW | 7.5 | 1wk fc_long +80%, 1d fc_mid +19%, positive analyst PT raise, fwdPE 8.02, mid-range position. |
| 5 | WAY | BUY NOW | 7.3 | All-timeframe bullish with 1wk fc_long +36.6%, Q2 beat + Barclays PT raise + Zacks upgrade — clean catalyst tape. |
| 6 | MLCO | BUY NOW | 7.1 | 1wk fc_long +59.96%, weekly at only 25% of range, PEG 0.35, 'worst is behind us' narrative confirmed. |
| 7 | PEGA | BUY NOW | 7.0 | 4h/1d fc_mid ~+45–49%, weekly at 34% of range with −25% drawdown, ROE 55%, positive Pega Cloud/FedRAMP news. |
| 8 | MNSO | BUY PULLBACK | 6.9 | 4h fc_mid +55%, 1wk fc_long +56%, PEG 0.17 — but 4h at 100% of range, wait for a 4h reset. |
| 9 | TIGR | BUY PULLBACK | 6.7 | 4h fc_short +75%, 1d fc_mid +65%, 1wk at 16% of range — but 4h at 100%, size on pullback. |
| 10 | BILI | BUY PULLBACK | 6.5 | Strong 4h/1d forecasts (+22–35%), but at 100% of 4h range and 81% of 1d range — chase risk high. |
| 11 | FINV | BUY NOW | 6.4 | All timeframes up, weekly fc_long +16.8%, PE 4.12, recom 1.0 — small cap but clean setup. |
| 12 | TRMB | BUY PULLBACK | 6.2 | 1d/4h at 100% of range; forecasts modest at long horizon; good name but poor entry today. |
| 13 | ACM | BUY PULLBACK | 6.0 | 1d/4h fc_long ~+22–35%, but at 100% of range on both — wait for pullback to $73. |
| 14 | BR | BUY PULLBACK | 5.9 | All-timeframe bullish forecasts but pinned at 91–100% of range across every timeframe — full chase. |
| 15 | STN | BUY PULLBACK | 5.6 | 1d fc_long +25.7% but 4h/1d at 100% range and 1wk fc_short slightly negative. |
| 16 | PDD | BUY PULLBACK | 5.5 | Solid forecasts but at 99.9%/99.8% of 4h/1d range, plus 'regulatory risk deserved discount' headline. |
| 17 | FIGR | WAIT | 5.3 | 4h fc_long +49% but no 1wk data, bullish_prob null, elevated PS 12.08. |
| 18 | FOUR | BUY PULLBACK | 5.2 | Deep drawdown and huge forward forecasts (+54–76%) but soft full-year guidance headline caps conviction. |
| 19 | KVYO | WAIT | 4.9 | PE 784, 22% short float, forecasts decent but valuation and short pressure argue for patience. |
| 20 | TCOM | WAIT | 4.7 | Strong daily forecast +28% but China regulatory curbs on OTAs is a direct negative catalyst — thesis undercut. |
| 21 | GDDY | WAIT | 4.5 | 1wk forecasts weak (+3–7%), debt/equity 573, 'Wall Street losing confidence in AI strategy' headline. |
| 22 | STEP | AVOID | 4.2 | 1wk forecasts all negative (−2.5%/−8.3%/−9.9%), ROE −750, opMargin −54%. |
| 23 | APP | AVOID | 3.9 | 1wk fc_long −66.7% and stock plunged 20% on earnings — signal directly refuted by tape. |
| 24 | SPRO | AVOID | 3.7 | Micro-cap ($73M), 1wk fc_mid −29.5%, huge drawdowns; lottery ticket, not a portfolio buy. |
| 25 | FUTU | AVOID | 3.5 | DOJ probe + HK SFC HK$125M client asset freeze; 1wk fc_long −35.6% confirms landmine. |
| 26 | ADTN | AVOID | 3.3 | Analyst target cuts post-Q2, Zacks Strong Sell add, negative margins — broken setup. |
| 27 | ALHC | AVOID | 3.0 | Lawsuit-driven accounting questions + Raymond James downgrade + JPM PT cut; 1wk fc_long −31%. |
| 28 | SE | AVOID | 2.5 | Bullish_prob 0, at 100% of 1d and 1wk range, 1d forecasts negative across horizons. |
| 29 | QTWO | AVOID | 2.4 | Bullish_prob 0, at 100% of 4h and 1wk range, RSI 69, deceleration narrative building. |
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