Today’s AI Top Pick: KVYO

7/23/2026 · Swing Setup + Squeeze screen · a free sample of K3vl4r’s AI-curated picks.

AI-ranked from a screened shortlist, with entry strategy, targets, and risks.

View the live KVYO price forecast →

Today's pick · Swing Setup + SqueezeKVYOBUY NOW8.3 / 107/23/2026

Klaviyo is the cleanest multi-timeframe setup on the board today. Every horizon points up: 1h fc_long +14.24%, 4h fc_short/mid/long all green (+3.65/+8.29/+26.51), 1d forecasts +24.4/+30.1/+37.9%, and even the beaten-down 1wk turns positive at fc_mid +34.09%. Kronos bullish_prob is a full 1.0 and near_term_bullish is 0.8 — that combination is rare on this list. Crucially, KVYO is NOT extended: pos_in_21bar_range is 22.15% on 1h, 47.62% on 4h and 56.31% on 1d, with a 1wk drawdown of -26.35% from highs. You are buying inside the range, not chasing a breakout. Fundamentals confirm the swing thesis: analyst recom 1.17 (near strong-buy), targetUpsidePct 78.4%, fwdPe 15.64 (very reasonable for 30% sales growth), PEG 0.66, EPS next-Y +22%, sales YoY +30.3%, gross margin 74.5%, debtEq only 0.10. Yes, TTM profitability is thin (profitMargin -0.66%, roe -0.78%) and that caps the fundamental_score at 4, but the balance sheet, growth, and analyst posture are exactly what the screen was built to surface. Short float 21.6% adds squeeze fuel if the tape turns. Recent news is a tailwind, not a landmine: Insider Monkey flagged KVYO as an 'undervalued software stock to buy now' (7/13), and the appointment of Erica Smith as CFO (effective 9/1) removes the CFO-transition overhang. A small SG Americas trim is noise. Compare to the alternatives: MNDY has a huge 1wk fc_long (+179.7%) but is pinned at 100% of 1h range and just announced 20% layoffs (execution risk); AVAV's 1wk forecast is negative and it is already at 80.9% of 4h range; TMDX just took an analyst PT cut; CELH near_term_bullish is only 0.2 despite strong fundamentals. KVYO gives you the best combination of alignment, forecast magnitude, non-extended entry, and clean news flow. Today is the entry because 1h is basing near the lower quarter of range (dd -7% from 21bar high) while every higher timeframe forecast points meaningfully higher. Waiting risks missing the 1h reversal that the 4h/1d forecasts are already pricing in.

KVYO forecast chart
Entry zone
$16.00–$16.50 (starter at spot $16.35, add on any dip to $15.80)
Stop loss
$14.75 (below the 1wk dd_from_21bar_high level and 1h swing low; ~10% risk)
First target
$18.50 (aligns with 1d fc_short +24% and 4h fc_long +26.5%)
Longer target
$21.50–$22.50 (1d fc_long +37.9% and 1wk fc_mid +34%)
Risks
  • Not yet profitable — TTM profitMargin -0.66% and roe -0.78%; any growth deceleration below the 30.3% salesYoY pace punishes the stock hard given fund_score of only 4.
  • 1wk trend still ugly: recent_21bar_pct -22.07% and price sits -26.35% off the 21-bar weekly high — a failed bounce could retest lows near $14.
  • Short float 21.6% cuts both ways — great on a squeeze, brutal if the 1h fc_short of -5.17% plays out first and forces a stop.
  • YTD performance -50.11% and 1-yr -50.53% signals persistent institutional selling; instOwn is only 45.22%, lower than most peers here.
  • Software sector rotation risk — if MNDY-style layoff/AI-restructuring narratives spread to KVYO, sentiment could reset lower before the forecasts materialize.
Honorable mentions
MNDYLargest forecast magnitude on the board (1d fc_long +75.6%, 1wk fc_mid +127.7%, fc_long +179.7%) with bullish_prob 1 and fund_score 6.5, but 1h is pinned at 100% of range and the 20% AI-restructuring layoff headline creates execution risk — better as a pullback buy toward $70.
AVAVCleanest catalyst (new Army contract 7/22), near_term_bullish 1.0, 1d fc_long +56.7%, salesYoY +140.9%. Held back by negative 1wk forecast (-5.94%), 4h pos_in_range 80.9% (extended short-term), and thin margins (profitMargin -13.4%).
Full ranking (30)
#SymbolVerdictScoreRead
1KVYOBUY NOW8.3Full MTF green, not extended, strong analyst support with fresh CFO catalyst.
2MNDYBUY PULLBACK7.9Monster daily/weekly forecast but 1h at 100% of range and layoff headline argue for waiting for a dip.
3AVAVBUY NOW7.6Army contract catalyst + near_term_bullish 1.0 + 140% salesYoY; 1wk drag is the caveat.
4TMDXBUY PULLBACK7.21d fc_mid +60% and pe 16 with roe 45%, but analyst target cut and 1wk fc_mid -7% delay conviction.
5CELHBUY PULLBACK7.0Fund_score 8 and 1d fc_long +64%, but near_term_bullish only 0.2 and 1h stretched at 96.7% of range.
6KRMNBUY NOW6.6Positive M&A catalyst, 1h fc_short +37%, targetUpside 117.5%, but pe 210 is a valuation caution.
7LIFBUY PULLBACK6.0Two PT raises to $66, near_term_bullish 0.8, but 1wk fc_mid -29% and 1h/4h at 0% of range flags near-term weakness.
8BKVBUY NOW5.9Cheap (pe 8, fwdPe 14) with 52% salesYoY and bullish_prob 0.8, though forecasts are modest single-digits.
9BTDRWAIT5.4Near_term_bullish 1.0 and record BTC production, but -68% profitMargin and 1wk fc_long -24% are red flags.
10TARSBUY PULLBACK5.21d/4h forecasts positive and pos_in_range only 10%, but 1wk fc_long -54% and PT cut this week caution.
11GLXYBUY NOW5.0Multi-tf forecasts +10–25% with Curator launch catalyst; recom 1.25 and 351% salesYoY offset fund_score 0.75.
12NTSKWAIT4.9PT raised to $16 and insider buying, but 1h fc_long -9.9% and fwdPe 558 make risk/reward unattractive here.
13BRZEWAIT4.8Bullish_prob 0 despite positive analyst notes; 1h/1d forecasts weak and pos_in_range 15.9%–43.3%.
14VNETWAIT4.71h fc_long +23% and bullish_prob 1, but debtEq 7.03 and truncated data raise execution risk.
15TTANWAIT4.41h forecasts negative (-8% to -13%) and CFO share sale headline offsets the AI-monetization thesis.
16SAILWAIT4.31h at 100% of range with fc_short -8.3% and insider selling; 1d fc_mid +32% is the only bright spot.
17BIRKWAIT4.0Solid fundamentals (fund_score 5.75) but every timeframe forecast is negative and Seaport just downgraded.
18VRDNWAIT3.91h at 100% of range with fc_short -21%; 4h/1d green but weekly forecasts negative and profitMargin -482%.
19AVPTWAIT3.7Solid fund_score 6.25 but every intraday forecast negative and 1wk fc_mid -11%.
20CHYMWAIT3.6Investing product launch catalyst offset by fc_short -12% across timeframes and 1d pos_in_range 85%.
21SVMWAIT3.41h fc_short +28% is tempting, but 1d/1wk forecasts collapse to -70% and silver just cracked on Iran headlines.
22RGENWAIT3.0Fresh $1.5B BioLife acquisition adds integration risk; every forecast horizon is negative to slightly positive.
23SUPNWAIT2.8Fund_score 5.75 with recent PT raise, but 1wk fc_long -37% and 1h at 0% of range signal broken momentum.
24BCRXWAIT2.6targetUpside 120% and bullish_prob 0.4 but no fund/forecast tape given, and JPM only Neutral at $12.
25DLOAVOID2.0Bullish_prob 0 with every forecast horizon negative (fc_long 1d -12.9%, 1wk -28.6%) and insider selling.
26RYTMAVOID1.9Every forecast negative (1wk fc_long -58.6%), profitMargin -95.7%, 1d pos_in_range 0%.
27MIRMAVOID1.6Bullish_prob 0, near_term 0 not shown, profitMargin -140%, ps 12.3 with no forecast tape support.
28TGTXAVOID1.5All forecast horizons deeply negative (1wk fc_long -57%) despite positive drug news — tape says distribution.
29SEIAVOID1.31wk fc_long -78% and 1d fc_long -32%; up 123% on the year and now rolling over hard.
30ALHCAVOID0.8Whistleblower accounting-fraud lawsuit is a landmine; every forecast horizon negative and 1wk fc_long -49%.

Get AI top picks & forecasts on any stock

K3vl4r screens the market daily and ranks the best setups with AI — forecasts, scored fundamentals & technicals, and multi-horizon price targets. Create a free account to explore them all.

Create your free account →

Already a member? Sign in · Join our Discord

⚠️ 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.