Today’s AI Top Pick: MNSO

8/6/2026 · Bullish Consensus Reliable Bullish screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Bullish Consensus Reliable BullishMNSOBUY NOW8.8 / 108/6/2026

MINISO (MNSO) is the cleanest setup on the board today: full multi-timeframe agreement, screen-passing fundamentals that are actually elite (not just marginal), and — critically — a price that is NOT extended. Position in the 21-bar range is 77% on 4h, only 49% on 1d, and just 19% on the weekly, so you're buying in the middle of the daily range and near the bottom of the weekly range with drawdown of -22.95% off the weekly high. That's the opposite of chasing. Forecast tape is unusually strong and consistent: 4h fc short/mid/long = +48.5%/+64.8%/+57.5%, 1d = +24.3%/+48.1%/+46.8%, 1wk = +2.3%/+54.4%/+59.2%. Every horizon on every timeframe is positive — no negative 1wk short-term hiccup like FUTU or EXE, no top-of-range profile like PDD/BR/TRMB. Kronos bullish_prob is 1.0 with near_term_bullish also 1.0. Fundamentals are the tiebreaker. PEG 0.16 is the lowest in the pool, PE 12.98, fwdPe 7.69, sales YoY +30.5%, operating margin 13.77%, ROE 18.98%, analyst recom 1.17 (essentially unanimous Strong Buy), targetUpside +58.0%. RSI 46.5 gives real room to run (still below mid-band). News is benign — recent 'stock sinks' and 'may sit below fair value' headlines are just retail commentary on the drawdown, not a guidance cut, dilution, or regulatory event. Contrast that with INTU (Truist downgrade), FUTU (DOJ probe/class actions), TMDX (margins down, trials delayed, stock sinking), and ZTS (Burry bet chatter) — all of which are why they lose to MNSO despite pretty forecasts. Today is the entry because the daily and 4h have already turned (positive recent_21bar_pct on shorter TFs) while the weekly is still deeply drawn down — that's the reversal window before the weekly catches up to the daily. Waiting risks buying at 4h pos_in_range 90%+ after the initial thrust.

MNSO forecast chart
Entry zone
$12.05–$12.35 (current $12.25; add on any dip toward the 4h VWAP)
Stop loss
$11.15 (below the 1wk drawdown low, ~9% risk)
First target
$14.50 (approx +18%, aligns with 4h fc_short of +48% getting halfway there)
Longer target
$17.50–$19.00 (aligns with 1d/1wk fc_mid +48% to +54% and analyst target upside +58%)
Risks
  • China ADR / VIE regulatory risk — headline shock could gap the name 5-10% independent of fundamentals
  • Debt/Equity 1.05 is the highest in the top tier; a discretionary slowdown would pressure margins (operMargin only 13.77%)
  • Weekly recent_21bar_pct is -22.95% — trend is not yet confirmed on the weekly and could still make a lower low if $11.30 breaks
  • Short-term news flow is mildly negative ('stock sinks', 'below fair value') — sentiment tailwind absent, this is a fundamentals+forecast trade not a momentum trade
  • Consumer cyclical exposure into a tape where MNSO YTD is -34.45% and 1-yr -37.33% — mean reversion has to actually happen
Honorable mentions
ZJust beat Q2 revenue and EPS, position_in_range only 8.76% on weekly / 38.66% on daily (deep value entry), forecasts massive at 1wk +13/+83/+99% and 1d +19/+67/+89%, prob 1.0. Held back only by PE 143 and profitMargin 2.27%, but the fresh earnings beat is a real catalyst.
BILInear_term_bullish 1.0, all-TF bullish, recom 1.32, PEG 0.54, RSI 53.8 (cleanest RSI in group), 4h/1d forecasts +14 to +40%. Slightly extended on 4h (pos 82) but the setup is otherwise pristine and news flow is quietly positive (Buy reiterations).
Full ranking (30)
#SymbolVerdictScoreRead
1MNSOBUY NOW8.8PEG 0.16, recom 1.17, weekly pos 19% with all TFs pointing up +24 to +65% — best risk/reward on the board.
2ZBUY NOW8.3Fresh Q2 beat + weekly pos 8.76% + fc_long +99% on 1wk make this the highest-upside setup, valuation the only knock.
3BILIBUY NOW8.0Clean multi-TF bullish, recom 1.32, RSI 53.8, PEG 0.54, positive analyst notes into 2Q.
4WAYBUY NOW7.7Zacks upgrade to Buy, recom 1.16, all-TF positive with weekly fc_long +48%, position middle of range.
5PDDBUY PULLBACK7.4PE 9.91, PEG 0.66, prob 1.0 — but pos 87% on daily / 82% on 4h means you're chasing.
6BRBUY NOW7.3RBC raise, record Q4 sales, near_term 1.0, all TFs bullish; slightly extended but news catalyst supports it.
7STNBUY PULLBACK7.1Daily pos 100% with fc_mid +24%; wait for a fade back to $70.
8ADSKBUY PULLBACK7.04h pos 92%, near_term 1.0, but AI-cost software selloff headline is a fresh sector overhang.
9ACMBUY PULLBACK6.9Lisbon airport win + all-TF bullish, but pos 88-89% top of range — wait for pullback.
10TRMBBUY PULLBACK6.8Multi-TF bullish and earnings on deck, but daily pos 81% — event risk without a discount.
11MMSBUY NOW6.7PE 9.46, fwdPe 6.96, targetUpside 66.3%, all-TF bullish, position middle of daily range.
12ZTSBUY PULLBACK6.5Weekly fc +40/+99/+135% and pos 0% is enticing, but 'Burry bet' headline is a fresh short signal to respect.
13TMEBUY NOW6.4Huge fc (4h +39/+53/+62%, 1d +35/+51/+76%) but prob only 0.8 and PEG 4.41.
14PEGABUY NOW6.3FedRAMP catalyst + 1d fc_mid +50.9%, but 17.79% short float is a battleground stock.
15CRMBUY PULLBACK6.2All-TF bullish and PE 22 reasonable, but Figma AI-cost software selloff headline hits this directly.
16NICEBUY NOW6.1Weekly fc +11/+46/+72%, PE 11.66, RSI 52.8; positive earnings reaction, cleanest small-cap tech setup.
17MLCOBUY NOW5.9All-TF green, PEG 0.36, weekly fc_long +47%, but market cap only $2.2B and no ROE data.
18FIGRWAIT5.7Nice forecasts but bullish_prob null, missing profit-year data, PT cuts from KBW and Piper.
19ONONBUY PULLBACK5.5Earnings next week; forecasts modest (fc_mid 1d only +4.8%) and pos 87-95% — event risk stretched.
20TYLBUY PULLBACK5.4Weekly fc +33% but SeekingAlpha rating downgrade and 4h pos 0% shows shorter TFs breaking down.
21LRNWAIT5.31d pos 16% but forecasts turn negative on 1wk long (-10.7%) and 4h long (-8.8%) — tape is confused.
22PSNWAIT5.2Goldman + Fintel PT cuts and 4h/1d recent_pct deeply negative; forecast bounce is speculative.
23NCNOWAIT5.1Fundamental score only 4.75, prob 0.6, PE 158, short float 17.8% — screen edge case.
24DSGXWAIT5.0Daily/weekly pos 100%, 4h forecast turns negative (-6.48% short) — top of range, avoid chase.
25EXEWAIT4.94h/1h short-term forecasts negative and daily pos 100% — momentum trade, not a setup.
26NOWWAIT4.7Figma AI-cost software selloff hits this by name; 4h/1h fc mostly negative near-term.
27TMDXAVOID4.4'Why TransMedics Is Sinking' + 'Margins Down, Trials Delayed' — thesis broken this week.
28ACNAVOID4.2targetUpside only +2.7% (screen barely passes), 1h/weekly recent_pct deeply red, growth stalling.
29INTUAVOID4.0Truist downgrade to Hold + Figma AI-cost software selloff hits it directly; 1wk fc_short negative.
30FUTUAVOID3.5DOJ probe + class actions + HK SFC HK$125M freeze; weekly forecasts all negative (-6/-21/-17%).

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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.