Today’s AI Top Pick: MNSO
7/24/2026 · Bullish Consensus 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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MNSO is the cleanest setup on the board today. Multi-timeframe forecasts are uniformly and aggressively bullish: 1h +10.68%, 4h +28.95%, 1d +40.25%, and 1wk +30.29% short-horizon, with mid/long horizons stretching to +54.31% and +52.81% on the weekly. That is the strongest forecast magnitude across every timeframe in the entire pool, and every timeframe agrees — no negative forecast anywhere. Bullish_prob is 1.0 with near_term_bullish 1.0, i.e., full model conviction. Crucially, you are NOT chasing. Position in the 21-bar range is only 16.22% on the 1h and 16.07% on the 1wk, with the weekly still -25.94% off the high. That means the tape has room to run before hitting resistance — the opposite problem of ADSK (100% of 1h range, at highs) or BR (100% across 1h/4h/1d). Drawdown is meaningful but the trend on lower TFs has already inflected (1d +8.23%, 4h +1.49%). Fundamentals are the best in the pool: PE 13.09, fwdPe 7.79, PEG 0.16 (lowest here), profitMargin 9.06%, ROE 18.98%, salesYoY +30.5%, debt/eq 1.05 (manageable), analyst recom 1.18 (tied for strongest buy consensus), targetUpsidePct +58.4%, shortFloat only 0.98% (no crowded short trap risk in either direction). Fundamental_score 8/8. News check: headlines are benign — the recent Zacks pieces are just daily price-move commentary, no guidance cut, no regulatory issue, no dilution, no short-seller report. The China ADR overhang is the main hidden risk but nothing catalyzed it this week. With screen-passing fundamentals, gold-standard multi-TF alignment, low positional risk, and no landmine headlines, MNSO is the highest-conviction BUY_NOW today.

- China ADR / geopolitical / VIE-structure risk — a single U.S.-China tariff or delisting headline can gap the stock 8-15% overnight regardless of fundamentals
- 1wk perf still -25.94% and dd_from_21bar_high -25.94% means downtrend is not yet definitively broken; a failed bounce would retest $11 area
- salesYoY +30.5% is strong but consumer discretionary exposure in China remains soft; any weak Q print could invalidate the growth thesis
- debtEq 1.05 is elevated relative to peers like PDD (0.01) — sensitive to rate/FX shocks
- Small US instOwn (9.76%) means liquidity air-pockets on ADR-specific selling
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | MNSO | BUY NOW | 9.2 | Best multi-TF forecast magnitude in the pool with lowest PEG (0.16), full bullish prob, and low 16% position in range — not chasing. |
| 2 | PDD | BUY NOW | 8.5 | Elite valuation (fwdPe 6.75) plus +23%/+46% weekly forecasts; slight near-term_bullish 0.5 keeps it #2. |
| 3 | BILI | BUY NOW | 8.1 | Deep oversold (pos 14% on 1h, 10% on 1wk) with reiterated Buy pre-Q2; only weekly forecast is soft. |
| 4 | EXLS | BUY NOW | 7.6 | Clean fundamentals (ROE 28, PEG 0.66) with all-green forecasts, but 1h already at 80% of range trims urgency. |
| 5 | ADSK | BUY PULLBACK | 7.3 | Guggenheim initiated Buy $245; forecasts all positive but 1h at 100% of range — wait for a pullback to $200. |
| 6 | TRMB | BUY NOW | 7.2 | Weekly still -28% drawdown with fc_long +32.24% and pos 5.69% — strong mean-reversion setup into earnings. |
| 7 | MMS | BUY NOW | 7.0 | Deep value (PE 8.6, fwdPe 6.33) with +82.9% target upside and all-green forecasts (+16.98% wk short); low cap adds torque. |
| 8 | CRM | BUY NOW | 6.9 | $1.6B VA contract catalyst, fwdPe 10.04, forecasts +8.6/+29/+39% across daily/weekly horizons. |
| 9 | MSFT | BUY PULLBACK | 6.6 | Best mega-cap fundamentals but weekly forecasts turn negative (-1.7/-2.9/-4%) — no urgency. |
| 10 | KKR | BUY PULLBACK | 6.5 | Earnings preview next week and pos 0% on 4h — wait for the print rather than buying into it. |
| 11 | ACN | WAIT | 6.4 | Massive weekly forecasts (+90-118%) look like statistical outliers after -51% year; too extreme to trust. |
| 12 | SPOT | BUY PULLBACK | 6.3 | Solid margins but 1wk forecasts are negative (-17 to -22%) — multi-TF disagreement. |
| 13 | MLCO | BUY PULLBACK | 6.2 | 1d at 100% of range and 4h at 99.5% — already extended into the +19-51% weekly forecast. |
| 14 | PFSI | BUY PULLBACK | 6.1 | Cheap (PE 8.78, PEG 0.32) but Barclays downgrade and 3.98 debt/eq into an earnings print add risk. |
| 15 | BR | BUY PULLBACK | 5.9 | 1h/4h/1d all at 100% of range with mixed short forecasts — extended into earnings August 4. |
| 16 | FRSH | WAIT | 5.7 | Guggenheim Buy is nice but 1h/4h forecasts are NEGATIVE (-13.6%, -0.88%) — model doesn't confirm. |
| 17 | EFX | BUY PULLBACK | 5.6 | Wells Fargo cut PT and 'Cash-Producing Stocks That Concern Us' headline; wait for cleaner setup. |
| 18 | WK | WAIT | 5.4 | PE 219, negative op margin, short forecasts negative on 1h/4h — only weekly saves it. |
| 19 | TOST | WAIT | 5.0 | Bullish_prob only 0.5, near-term 1h/4h forecasts negative (-12.7%, -0.88%), PE 43 — no conviction. |
| 20 | DASH | WAIT | 4.8 | Very high PE 80, 1h/4h forecasts negative, at deep drawdowns without near-term momentum inflection. |
| 21 | CBZ | AVOID | 4.3 | 1h forecasts -18 to -21%, near_term_bullish 0, RSI 62.36 near screen top, only 5.8% target upside. |
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