Today’s AI Top Pick: LYFT

7/1/2026 Β· Highly Shorted Short-Term Bounce πŸ§ͺDeep Rotation screen Β· a free sample of K3vl4r’s AI-curated picks.

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Today's pick Β· Highly Shorted Short-Term Bounce πŸ§ͺDeep RotationLYFTBUY NOW8.2 / 107/1/2026

LYFT is the cleanest setup on the board today: multi-timeframe forecast agreement, mid-range positioning (not chasing a top), extreme value fundamentals, and no material news landmines. The 4h forecast projects +18.49% mid / +26.59% long, the 1d shows +1.56% short / +5.36% long, and the weekly is the standout at +23.00% mid / +41.44% long. Near_term_bullish is 0.8 β€” the highest tier of any candidate β€” and while the raw bullish_prob is 0.4, the tape and fundamentals more than compensate. Critically, LYFT is NOT extended. Position_in_21bar_range is 37.07% (1h), 55.21% (4h), 66.13% (1d), 84.21% (1wk) with drawdowns of only -2.21% to -4.23%. That's the sweet spot the screen was designed to find β€” pullback within an uptrend, not a blow-off top. Compare to UPST (pos 84–100%, 1h/4h/1d dd of 0), CXT (100/100/100), DAVE (98/97/100 with catastrophic forecasts), or SEZL/LQDA (pinned to highs with -60% to -90% weekly forecasts). LYFT lets you buy without chasing. Fundamentals are the best-in-class among the tape-confirmed names: trailing P/E of 2.05, fwdPe 14.56, PEG N/A but epsNextY +67.23%, ROE 147.81%, profitMargin 43.82%, debtEq only 0.43, and analyst targetUpsidePct of +31.1% β€” which lines up almost exactly with the weekly fc_long of +41.44%. Short float is 25.59% (screen-qualifying squeeze fuel), YTD is -24.57% (setup for reversion), and the sole recent headline was neutral-to-positive (autonomous-vehicle safety framework β€” a strategic positive). No downgrade, no dilution, no short-seller report. Why today, not later? RSI is a benign 55.14, the 1h fc_short is already +0.79% and 1d fc_short is +1.56% (immediate lift), and the 21-bar drawdown is shallow enough that the risk/reward from $14.62 is asymmetric β€” a stop under the 1d 21-bar low gives ~4–5% risk against a first target of ~10% and a swing target north of 25%. Waiting risks missing the reversal off a shallow pullback in a name that already has 4h/1d/1wk positive-forecast confirmation.

Entry zone
$14.30–14.70 (current $14.62, add on any dip to VWAP/1h 21-bar mid near $14.30)
Stop loss
$13.85 (below 1d 21-bar drawdown floor of -4.13%, ~5% risk)
First target
$16.10 (+10%, matches 1wk fc_short + 4h fc_mid convergence)
Longer target
$18.50–20.00 (aligns with 1wk fc_long +41% and analyst targetUpside +31%)
Risks
  • Short-term 1h fc_mid is -4.54% and fc_long -6.61% β€” a 1–2 day dip toward $14.00 is plausible before the reversal
  • Sales YoY only +9.36% β€” growth is decelerating vs. peers, so any guidance miss magnifies downside
  • 25.59% short float cuts both ways β€” helpful on a squeeze, but crowded shorts can also mean fundamental doubters have data we don't
  • Operating margin is -2.42% despite the massive reported profit margin (43.82% is inflated by tax/one-time items); core operating leverage is thin
  • Autonomous-vehicle competitive risk from Waymo/Tesla remains the structural overhang capping multiple expansion
Honorable mentions
UPSTHighest forecast magnitude on the board (1wk fc_mid +60.95%, fc_long +139.65%), bullish_prob=1, positive news on Neuberger renewal and new securitization ratings. Downgraded to #2 only because pos_in_21bar_range is 84–100% across every TF β€” you're chasing an extended tape. Better as a BUY_PULLBACK toward $33.
BIRKBest position_in_range on the board (10.65–30.91% on 1h/4h/1d), fundamental_score 6.5 (highest tied), recom 1.43, near_term_bullish 0.8, and a fresh buyback capacity headline. Held back by a 1wk fc_mid of -12.38% and mixed short-term forecasts; ideal for patient adds.
Full ranking (30)
#SymbolVerdictScoreRead
1LYFTBUY NOW8.2Multi-TF positive forecasts, mid-range entry, P/E 2.05 with 31% analyst upside β€” cleanest risk/reward on the tape.
2UPSTBUY PULLBACK7.6Explosive weekly forecast (+139% long) and positive funding news, but pinned at 21-bar highs β€” wait for $33 retest.
3BIRKBUY NOW7.2Best position-in-range (10–30%), fundamental_score 6.5, buyback catalyst β€” lower-conviction but cleanest entry.
4SOFIBUY PULLBACK6.44h fc_mid +38.5% and 1d fc_short +3.88% are strong, but 1wk fc_mid -39.5% is a red flag for the swing.
5DUOLBUY PULLBACK6.21d/1wk forecasts +48/+84% and bullish_prob=1, but DA Davidson DAU stall headline undercuts the near-term thesis.
6HOGWAIT5.61wk forecasts positive (+7.72/+11.08/+32.7%) but 4h/1d all red; low fundamental_score 2.25.
7MARAWAIT5.2Weekly setup constructive with Citizens $24 PT, but 4h fc_mid -34.5% and negative margins argue for patience.
8PRMBWAIT4.6Screen-passer with positive narrative, but every forecast horizon is negative on 4h/1d/1wk.
9RGTIWAIT4.51h/4h/1d forecasts turning positive from deep drawdown, but 1wk fc_mid -77% is a warning.
10GRNDAVOID4.3Pinned at 100% of range on every TF with all forecasts red across all horizons β€” classic top.
11CHHWAIT4.2Neutral tape and negligible +1.1% analyst upside; recom 3.18 is the worst on the list.
12CXTWAIT4.0At 100% of range on 1h/4h/1d after +40% run; forecasts flat-to-negative β€” no edge here.
13NCLHWAIT3.9Cheap on fwdPe 10.46 but all four TF forecasts red and Russell Growth removal overhang.
14BCRXAVOID3.7All-red forecasts and Birmingham facility closure announcement β€” restructuring risk.
15VERAWAIT3.6FDA alignment positive but 1d/1wk forecasts -14% to -36%; wait for base.
16DYNAVOID3.5Pinned at range highs with 1d fc_long -31.84% and 1wk fc_mid -32.36%.
17GPGIAVOID3.41wk drawdown -36% with fc_mid -55.74%; salesYoY -100% is a data anomaly worth avoiding.
18FAAVOID3.2100% of weekly range with 1d fc_short -12.37% and fc_mid -23.42% β€” classic exhaustion top.
19IRENWAIT3.1Russell 1000 inclusion tailwind offset by 4h/1d position at 1.9%/2.1% of range and 1wk fc_long -75%.
20EQPTWAIT3.0Umibōzu short report is a live landmine; only 1h TF available makes this untradeable on this data.
21PBIWAIT2.8Strategic-review headline is intriguing but forecast tape is uniformly weak.
22RHIAVOID2.6recom 3.27 (worst), salesYoY -6.08%, and StockStory 'warning signs' article β€” broken thesis.
23BOBSWAIT2.5Only 1h TF data with fc_short -22.68% β€” insufficient signal, negative near-term.
24TGTXAVOID2.3RSI 77 with 1d fc_short -37.87% and every long-horizon forecast -40% or worse.
25SEZLAVOID2.0RSI 76.67 at range top with 1wk fc_mid -90.38% β€” extreme mean-reversion setup on the wrong side.
26NBISAVOID1.9PS 79.16 with 4h fc_mid -72% and 1d/1wk forecasts deeply red β€” priced for perfection, tape says otherwise.
27DAVEAVOID1.71d fc_short -40%, fc_mid -46%, 1wk fc_mid -73% at 100% of weekly range β€” textbook blow-off.
28ERASAVOID1.5Up 1342% YoY with 1d fc_short -51% and 1wk fc_mid -82% β€” parabolic exhaustion.
29SEIAVOID1.31d fc_short -41.57%, 1wk fc_mid -79% β€” the AI-power bullish narrative is already priced in and then some.
30LQDAAVOID1.01d fc_short -60.28%, 1wk fc_mid -83% at 100% of range with B of A downgrade β€” do not touch.

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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.