Today’s AI Top Pick: MMS

8/11/2026 · Reliable Bullish screen · a free sample of K3vl4r’s AI-curated picks.

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

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Today's pick · Reliable BullishMMSBUY NOW8.7 / 108/11/2026

Maximus (MMS) is the cleanest reliable-bullish setup on the board today: multi-timeframe forecast agreement, an oversold/washed-out position in range (not chasing), strong fundamentals, and no material negative headlines. The 4h forecasts read +29.9%/+41.3%/+49.2%, the 1d reads +12.1%/+41.7%/+26.0%, and the 1wk reads +9.4%/+37.0%/+41.1% — every single horizon on every timeframe is positive, with mid/long magnitudes in the 26–49% zone. Bullish_prob is 1.0 and near_term_bullish is 1.0. Crucially, MMS is NOT extended — pos_in_21bar_range_pct is 28.6% on 4h, 0.37% on 1d, and 5.61% on 1wk. Drawdown from 21-bar high is −12.6% on 1d and −19.6% on 1wk, and RSI sits at 39.25. That is exactly the profile the lens rewards: a screen-approved bullish name buying in near the lower band rather than at the top. Compare that to INTU (100% of range on 1h/4h/1d) or WAY (100% on 1d) — both would be chases; MMS is a rebound entry. Fundamentals corroborate: trailing PE 8.17, fwdPE 6.61, PEG 0.78, ROE 21.1%, debt/eq 0.99 (manageable), analyst recom 1.5, and a targetUpsidePct of 67.3% — the biggest analyst upside in the top tier. The most recent headlines (Q3 earnings call on 8/8 and a ChartMill dividend-quality piece) are constructive, not landmines. No guidance cut, no legal issue, no dilution. Why today rather than wait: 1d and 1wk position near 0–5% of range means we are essentially buying the retest of the prior swing low with model conviction 100% and a >37% mid-horizon forecast. Waiting risks the mid-horizon repricing already forecast by the model. Sizeable stop below the recent 1d low keeps risk defined.

MMS forecast chart
Entry zone
$54.50 – $56.00 (current $55.33; add on any dip to $54)
Stop loss
$49.50 (below the 21-bar 1d low; ~11% risk)
First target
$63 – $65 (mean-revert to 4h mid-range and fill the 12% recent drawdown)
Longer target
$74 – $78 (aligns with 1wk +37% mid and analyst targetUpside ~67%)
Risks
  • Position is near a 1d/1wk range low (0.37%/5.61%) — momentum has not yet turned; a break of $53 opens a retest of $49–50
  • Salesgrowth is −3.32% YoY and gross margin only 24% — this is a value/rebound trade, not a growth story; any soft guidance would reprice quickly
  • Debt/eq 0.99 is elevated for a government-services roll-up; higher-for-longer rates pressure the multiple
  • Fundamental score 7.5 relies on analyst recom 1.5 and 67% target upside; a single broker downgrade could de-rate quickly
  • General small/mid-cap beta risk — MMS market cap $2.9B, less liquid than the mega-caps in the pool
Honorable mentions
FISOnly name with full 4-TF coverage all positive (1h +0.6/+3.2/+0.8, 4h +1.5/+2.9/+17.7, 1d +7.8/+24.8/+42.0, 1wk +7.6/+55.3/+67.6), sitting at 0% of 1h/4h range (not chasing), PE 6.53, fwdPE 6.33, profitMargin 21.9%. Cantor lowered PT but kept Overweight — no material landmine.
MNSOPEG 0.16, recom 1.17 (near-unanimous strong buy), fwdPE 7.83, all-TF bullish (4h/1d/1wk fc_mid +54%/+50%/+33%), 1wk position only 22% of range. News is neutral-to-bullish (undervalued framing). Slightly higher position on 4h (76%) is the only knock.
Full ranking (30)
#SymbolVerdictScoreRead
1MMSBUY NOW8.7Oversold at 0.37% of 1d range, all-TF forecasts +9 to +49%, fwdPE 6.6 and 67% analyst upside, clean tape.
2FISBUY NOW8.4Full 4-TF alignment, sitting at 0% of 1h/4h range with 1wk mid +55%/long +68% forecast.
3MNSOBUY NOW8.2Cheapest PEG (0.16), recom 1.17, 4h/1d/1wk fc_mid +54/+50/+33, 1wk pos 22%.
4PODDBUY PULLBACK7.6Massive 4h/1d/1wk long forecasts (+98/+83/+58) and 1wk pos 1.5%, but RBC/Canaccord lowered PTs — wait for base.
5FINVBUY PULLBACK7.4PE 4, recom 1.0, all-TF bullish, but SA downgrade on regulatory pressure is a caution flag.
6ACMBUY PULLBACK7.11d fc +31/+41/+35, 1wk pos 11%, but Q3 miss and guidance update need to digest.
7TCOMBUY PULLBACK6.81d fc mid +26/long +26, profitMargin 48%, but 1h forecasts negative and China OTA regulatory chatter.
8MLCOBUY PULLBACK6.6PEG 0.35, 1wk fc +34/+46, 1wk pos 16%; fwdPE 8 with clean tape.
9STNEWAIT6.5RSI 36, 4h pos 1.7%, 4h fc +38/+41/+41, but salesYoY −33.9% and operMargin −106% — value-trap risk.
10PEGABUY PULLBACK6.44h fc +36/+52/+50, ROE 55%, but 1d pos 95% is chase territory.
11FIGRWAIT6.3Bernstein raised PT to $70, but bullish_prob null and only 2 TFs available.
12TMEWAIT6.24h/1d fc_long +79/+80 is strong, but earnings landed 8/11 — wait for reaction.
13TRMBBUY PULLBACK6.1All-TF positive but pos 92% (4h) / 86% (1d) — chase risk into Q2 print.
14WAYBUY PULLBACK5.9Barclays PT raise to $27 but pos 100% on 1d and near_term_bullish only 0.2.
15INTUBUY PULLBACK5.81d fc long +77% but pos 100% across 1h/4h/1d — chasing all-time strength.
16TIGRWAIT5.6Huge 4h fc +70% but 4h pos 95% and SA downgrade on policy — extended and warned.
17FUTUWAIT5.4Strong 4h/1d forecasts but 1wk fc negative and HK SFC client-asset freeze headline.
18FOURWAIT5.21d fc mid +49/long +49 strong, but stock trading lower today and DA Davidson cut PT.
19PDDBUY PULLBACK5.0PE 10, ROE 25%, but 4h/1d pos 94%/91% and SA regulatory-discount thesis.
20HUBSWAIT4.81wk fc +96/+118 is eye-popping but HubSpot just cut its own customer-growth forecast.
21KVYOWAIT4.4PE 843 and shortFloat 24% — forecast decent but too many landmines.
22CCLDAVOID4.3$102M cap, 1wk fc negative, debt/eq 3.1 — signal quality too weak.
23GDDYWAIT4.2Debt/eq 573, targetUpside only 14.5%, WSJ chatter on losing AI confidence.
24RPCWAIT4.0Only 1d/1wk data, modest forecasts, Barclays cut PT and stock falling today.
25VRSKWAIT3.9Delaware Chancery blocked AccuLynx exit — real overhang despite decent 1wk fc.
26STEPWAIT3.7ROE −750, operMargin −53%, 1wk forecasts negative — screen-pass but tape rolling.
27ONONAVOID3.5Q2 sales miss today — forecast tape stale vs. fresh negative catalyst.
28QTWOAVOID3.3RSI 70.7, pos 100% across all TFs, 4h fc mid negative, bullish_prob 0.2.
29SPROAVOID3.01wk forecasts −31/−17, $71M cap, wk drawdown −57% — falling knife despite fundamentals.
30SEAVOID2.8All forecast horizons negative, pos 100% across TFs, bullish_prob 0.4 — broken setup.

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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.