Today’s AI Top Pick: LYFT
9/10/2026 · Quality Squeeze screen · a free sample of K3vl4r’s AI-curated picks.
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LYFT is the cleanest quality-squeeze setup on the board today. All three timeframes point up (4h fc +15.5%/+32.7%/+44.5%, 1d fc +5.3%/+13.9%/+6.75%, 1wk fc +0.1%/+11.8%/+14.7%) with a kronos bullish_prob of 1.0 and near_term_bullish of 0.8. Critically, it is NOT extended — it sits at just 1.79% of the 21-bar daily range and 8.39% on the 4h with a -15.5% drawdown from the daily high. That means you're buying into a compressed base, not chasing a vertical move like PSIX (pos 97-98%) or INSP (pos 100% across all TFs). The fundamentals underneath are best-in-class for this screen: PE 2.08, fwdPe 14.48, ROE 152.58%, profitMargin 42.32%, debtEq 0.43, and salesYoY +10.8%. Fundamental_score is 6.75, second only to PSIX (which is chasing) and tied with the caveats of a soft operMargin (-1.67%). Analyst target upside is +35.1% with recom 2.4 — not glowing but supportive. Headlines are neutral-to-mildly-negative: Scotiabank prefers Uber/DoorDash over Lyft and a routine insider sale of 13.2k shares (~$220k, immaterial). Neither is a thesis-breaker — no guidance cut, no legal action, no dilution. Compare that to UPWK, which has the biggest forecast (fc_long +144% on 4h) and similar setup but was flagged on Aug 20 for cutting its growth outlook — that is a genuine landmine that keeps it out of the top slot. PSIX's weekly tape (-44% and forecasts -41%) undercuts the daily breakout. CRMD's weekly forecast is -12%. Today is the entry because LYFT is coiled at the bottom of its daily range with RSI 33.6 (oversold), yet every forward-looking signal — probability, near-term, and multi-horizon forecasts — is green. Waiting risks missing the reversion off this base; the asymmetry (small drawdown risk vs. double-digit forecast upside) is at its most favorable right here.
- OperMargin is -1.67% — the huge 42.3% profitMargin is driven by tax/one-time items, so a GAAP miss next quarter could sting
- 17.66% short float means a squeeze can go either way; a break of $13.75 could accelerate lower fast
- Sell-side prefers UBER/DASH — LYFT may underperform peers on any sector rotation
- 1wk fc_short is only +0.13% — near-term weekly momentum is tepid, so patience through chop is required
- Kronos bullish_prob of 1.0 is model-derived; if broader risk-off hits high-beta tech (LYFT beta >2), forecasts degrade quickly
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | LYFT | BUY NOW | 8.2 | Multi-TF green, oversold RSI 33.6, pos 1.79% of daily range, PE 2.08 — asymmetric setup with no killer headline. |
| 2 | UPWK | BUY NOW | 7.6 | Best forecast magnitudes on the board (fc_long +144%/+54%/+47%) from a compressed base, but recent guidance cut warrants slightly smaller size. |
| 3 | PSIX | BUY PULLBACK | 6.5 | Elite fundamentals and 4h/1d forecasts but pos 97–98% of range and weekly forecast -41% — wait for a pullback to $38-40. |
| 4 | CRMD | BUY PULLBACK | 5.8 | Strong 4h forecasts (+8/+16/+11) and prob 0.8, but weekly forecast turns -12% and 'guidance barely budged' headline caps upside. |
| 5 | DUOL | WAIT | 5.3 | Prob 0.8 and weekly fc +26% but 1d fc_mid -14.4% shows near-term chop; foldable iPhone meme is thin catalyst. |
| 6 | LRN | WAIT | 5.0 | Fundamentals solid (PE 11.34, ROE 21.7) but 4h/1wk forecasts negative and Coursera sector weakness looms. |
| 7 | INSP | BUY PULLBACK | 4.8 | Every TF at pos 99–100% with strong forecasts, but chasing an extended move with targetUpside -9.1% and fund_score 0.5. |
| 8 | DUOT | WAIT | 4.2 | Deep drawdown (-26% on 4h) and 4h/1d forecasts turning up, but 1wk fc_long -41% and operMargin -32% raise flags. |
| 9 | EVER | WAIT | 4.0 | Fund_score 5.0 and pos 0-3% of near-term range, but 1wk fc_long -20.5% and 'time to sell' headline drag. |
| 10 | PATH | WAIT | 3.8 | Prob 0.0 and near-term 0.0; oversold but all daily/weekly forecasts negative, trading lower on Q2 earnings. |
| 11 | TDC | WAIT | 3.5 | Prob 1.0 and PE 5.87 attractive, but limited tape data provided and recom 2.73 is tepid. |
| 12 | DLO | AVOID | 3.2 | Prob 0.0, all forecasts turning negative (1d fc_mid -13%, 1wk fc_long -12.6%), pos 47-81% of range — no edge. |
| 13 | SGHC | AVOID | 2.8 | Prob 0.0 with every TF forecast deeply negative (1wk fc_long -61.3%) despite fund_score 8. |
| 14 | AUGO | AVOID | 2.5 | Massive run (+167% YoY) then Wall Street Zen downgrade; forecasts -21% to -27%, pos 92% of 4h range. |
| 15 | SEZL | AVOID | 2.3 | Prob 0.2 and 4h fc_short -59%, deep drawdown -35% with forecasts still pointing down. |
| 16 | LQDA | AVOID | 1.8 | Prob 0.0 with 1wk fc_long -88.9%; parabolic weekly gain (+85%) rolling over despite FDA Fast Track headline. |
| 17 | XMAX | AVOID | 1.5 | No forecast data, prob 0.0, PS 34.17 stretched, expected_return -81% — pure speculation. |
| 18 | FRPT | AVOID | 1.5 | Prob 0.2, epsNextY -3.9%, no bullish tape signal to override weak setup. |
| 19 | DOCS | AVOID | 1.5 | No timeframe data in candidate block; screen-only pass, cannot confirm. |
| 20 | TTD | AVOID | 0.5 | Fund_score -4.25, perfYear -73%, recom 3.14, epsNextY -38.7% — broken. |
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