Today’s AI Top Pick: KVYO
9/17/2026 · Swing Setup + Squeeze screen · a free sample of K3vl4r’s AI-curated picks.
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KVYO is the cleanest setup in this pool: it is the only name where every forecast horizon on every available timeframe is positive AND price is sitting in the lower half of its recent range, so you're not chasing. 4h forecasts are +44.68% short / +21.19% mid / +17.74% long, 1d are +5.14% / +21.19% / +42.60%, and 1wk are +6.76% / +38.01% / +35.11%. Bullish_prob is 1.0 with near_term_bullish 0.6 — genuine multi-timeframe agreement with no negative horizon anywhere, which is rare in this list (MIR's weekly rolls over, CELH's 4h is negative, AVAV's weekly is red, APLD's weekly is deeply negative). Critically, KVYO is not extended. Position-in-21bar-range is 7.32% on the daily and 35.87% on the weekly, with drawdowns of -20.25% (1d) and -25.86% (1wk) from recent highs. That is a beaten-down growth name basing at the low end — exactly the swing-squeeze setup this lens is looking for. Short float 26.2% adds fuel if the forecast plays out. Fundamentals justify a bid: fwdPe 15.35, PEG 0.6, analyst recom 1.25, target upside 63.7%, salesYoY +28.89%, epsNextY +28.28%, debt/equity 0.12, gross margin 73.79%. It's -50% YTD, so this is a mean-reversion setup with real growth backing it. Headlines are supportive/neutral (partner-of-year announcement, platform going headless for AI agents, options market flagging a potential spike) — no dilution, no legal issue, no guidance cut. Compare to VIA (public-offering headline noise), APLD ($5B debt story, AI trade bleeding), LQDA (all forecasts deeply negative), SEI (mid/long forecasts -30% to -87% despite strong recent tape) and KVYO is the standout. Why today vs. waiting: price is already at the lower end of its ranges with a -25% weekly drawdown; waiting for a deeper pullback risks missing the base. The 4h fc_short of +44.68% suggests an imminent squeeze attempt, and 1d/1wk mid-to-long forecasts of +21% to +43% give the swing horizon.

- Down -50.02% YTD and -50.7% Y/Y — clearly in a broken downtrend; base can fail and roll over, especially with position_in_21bar_range only 7.32% on daily (near lows, not a proven bottom yet)
- Short float 26.2% cuts both ways — a failed squeeze often accelerates to the downside
- TTM PE 765 and operMargin -1.86% mean the story depends entirely on delivering the epsNextY +28.28% guidance; any miss re-rates violently
- 4h fc_short of +44.68% is an outlier vs. the 1d fc_short of only +5.14% — near-term model may be over-optimistic
- Broader tape risk: growth software has been choppy; a market wobble takes low-quality-earnings names like KVYO harder
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | KVYO | BUY NOW | 8.6 | Only name with all-positive forecasts across 4h/1d/1wk, sitting at 7% of daily range with -25% weekly drawdown and fwdPe 15.4. |
| 2 | CELH | BUY NOW | 7.5 | Fresh insider buying + 1d fc_mid/long +45%/+43% at pos_in_range 22% — strong catalyst-backed swing. |
| 3 | MIR | BUY PULLBACK | 7.1 | CFO buy and Jefferies Buy plus explosive 4h forecasts, but weekly forecasts turn negative — take with tighter stop. |
| 4 | BTDR | BUY PULLBACK | 6.2 | $7B AI pipeline catalyst and salesYoY +127%, but 1wk forecasts -8/-24/-18 and profitMargin -55% keep it speculative. |
| 5 | GLXY | BUY PULLBACK | 5.6 | 1d forecasts +5/+14/+24 with pos_in_range 21%, but no near_term_bullish signal and crypto-tape dependent. |
| 6 | GRND | WAIT | 4.6 | Profitable (18.75% margin, ROE 108%) but all forecast horizons negative on 4h and 1d, and bullish_prob 0. |
| 7 | AVAV | WAIT | 4.4 | Pinned at 100% of 1h/4h range — chasing risk; 1wk forecasts all negative despite $1.5B backlog story. |
| 8 | DLO | WAIT | 4.2 | Cheap fwdPe 13 and profitable, but all mid/long forecasts negative across timeframes. |
| 9 | ARQT | WAIT | 3.9 | Near daily highs (pos 97.7%) with 1wk fc_mid/long -39%/-38% — extended into weak forecast. |
| 10 | VIA | WAIT | 3.5 | At 100% of 4h range with 1d fc_mid/long -42%/-41%; recent Seeking Alpha downgrade after rebound. |
| 11 | SEI | AVOID | 3.3 | Needham raise is nice but 1wk forecasts -24%/-75%/-88% at pos_in_range 95% — classic distribution top. |
| 12 | TGTX | AVOID | 2.8 | Insider selling and pos_in_range 96% with 4h/1d/1wk forecasts uniformly -27% to -55%. |
| 13 | APLD | AVOID | 2.6 | $5B debt headline plus 1wk fc -21%/-62%/-73% — narrative and tape both breaking. |
| 14 | SVM | AVOID | 2.4 | Perf +117% Y/Y but 1wk forecasts -12%/-65%/-74% and near-term_bullish 0 — cycle top risk. |
| 15 | LQDA | AVOID | 1.5 | Every forecast on every timeframe deeply negative (1wk long -82%), news warns of 13.9% monthly loss. |
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