Today’s AI Top Pick: MNSO

7/28/2026 · Reliable Bullish screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Reliable BullishMNSOBUY NOW9.0 / 107/28/2026

MINISO (MNSO) is the cleanest multi-timeframe bull setup in the pool right now. All four horizons point up with big magnitudes: 1h fc 18.15%/26.16%/21.71%, 4h fc 41.74%/48.56%/57.70%, 1d fc 29.45%/45.20%/42.83%, and 1wk fc 4.27%/51.57%/57.86%. Bullish_prob is 1.0 with near_term_bullish 0.8 — the forecast tape confirms the screen. Critically, MNSO isn't chasing: position_in_21bar_range is 53%/76%/55%/18% across timeframes, and the weekly is still 24.75% off the high, meaning we're buying a reset name, not the top of a rip. Fundamentals are best-in-class among the reliable_bullish set: PE 13.16, fwdPE 7.83, PEG 0.16 (elite), ROE 19.0%, profit margin 9.1%, salesYoY +30.5%, and epsNextY +7.45% forecast. Analyst recom is 1.18 (near unanimous strong-buy) with 58.1% target upside — the sell-side agrees with the tape. Debt/equity 1.05 is manageable for a retailer, and short float is a tiny 0.95% so this isn't a squeeze play, it's clean accumulation. Headlines are non-events (Yahoo/Zacks price-action commentary about daily underperformance) — no guidance cut, no regulatory action, no dilution, no short-seller report. Compare to FUTU (DOJ probe + class actions), WAY ('lost appeal, slower demand'), and TOST/FRSH (bullish_prob collapsed to 0.2/0.6 with negative forecasts across the curve) — MNSO has zero landmines while offering better forecast magnitude than NICE and better range positioning than PDD (which sits 82–91% of range on 4h/1d). Why today, not later: the 1h/4h are already turning up (+6.97%/+3.67% recent) while the weekly is still deep in the hole, meaning we're catching the reversal early. Waiting for a pullback risks missing the weekly forecast's 52–58% mid/long move. Position sizing rationale: enter now with a stop that respects the weekly base.

MNSO forecast chart
Entry zone
$12.05–$12.35 (current $12.28; add on any dip to the 1h VWAP zone)
Stop loss
$10.85 (below the 21-bar 4h range floor and ~12% risk)
First target
$14.00 (+14%, aligns with 1h/4h short forecasts)
Longer target
$17.50–$18.50 (+43–51%, aligns with weekly mid/long fc of +51.6%/+57.9% and 58% analyst target upside)
Risks
  • China consumer discretionary exposure — a soft Golden Week or weak Q3 print could invalidate the 1wk fc of +51.6% mid-term
  • ADR/VIE structural risk and tariff/policy headline shocks that hit the whole China ADR complex regardless of MNSO fundamentals
  • Weekly still shows -24.75% recent_21bar_pct and dd_from_21bar_high -24.75% — this is a reversal trade, not a confirmed uptrend on the highest TF
  • Debt/equity 1.05 is elevated for a retailer; rising rates or FX pressure on offshore debt would compress the PEG 0.16 story
  • Institutional ownership only 9.76% means less sponsorship cushion if sentiment flips
Honorable mentions
NICECleanest mid-range setup (30–55% pos), all-TF positive forecasts topping out at 1wk long +72.27%, PE 11.15/PEG 0.97, no bad news, near_term_bullish 1.0 — a tighter, lower-vol version of the MNSO trade
PDDPE 9.25/PEG 0.62/ROE 25.5% is the best pure value in the pool with 1wk fc +33.75%/+31.98% and bullish_prob 1.0; docked only because pos_in_range is 82–91% on 4h/1d, making entry slightly extended vs. MNSO
Full ranking (30)
#SymbolVerdictScoreRead
1MNSOBUY NOW9.0All-TF up, huge magnitudes (1wk +51.6/+57.9), mid-range entry, PEG 0.16, recom 1.18, zero bad news.
2NICEBUY NOW8.71wk fc +52.9/+72.3, all TFs positive, mid-range pos 30-55%, cheap PE 11 with clean tape.
3PDDBUY NOW8.5Deep value PE 9.25, all-TF positive with 1wk +33.8/+32.0, only demerit is 82-91% range on 4h/1d.
4BILIBUY NOW8.2Multi-TF positive (1d +38, 4h +42.7 long), near_term 1.0, 60% target upside, positive 2Q preview.
5PODDBUY PULLBACK8.0Beautiful 1d/4h fc (+58/+56), but near_term_bullish only 0.4 and earnings risk this week.
6BABABUY NOW7.6PEG 0.31, bullish_prob 1.0, positive AI/cloud narrative, but score capped by lower forecast magnitude.
7WAYBUY PULLBACK7.44h/1d/1wk very strong (+40/+30/+42 long) but 1h fc negative and 'lost appeal' headline is a caution.
8TRMBBUY PULLBACK7.31wk fc +25 long and near_term 0.8, but at 100% of 1d range — wait for a dip.
9HURNBUY PULLBACK7.2Strong 4h/1d fc but 1h/1wk fc turning negative and pos 92-99% — earnings tomorrow is binary.
10CRMBUY PULLBACK7.1All TFs positive with 1wk long +32, but pos_in_range 100% on 3 TFs — chasing risk.
11ADSKBUY PULLBACK7.0All TFs positive but at 100% of range on 1h/4h/1d with only ~1-3% short fc — extended into earnings.
12EXLSBUY PULLBACK7.01d fc +31/+22 solid but 1h fc negative and at range top — earnings tomorrow adds risk.
13BRBUY PULLBACK6.91d fc +36/+40 excellent but at 100% of 1d range and 1h/1wk short fc negative.
14FIGRWAIT6.7bullish_prob null, no weekly data, dd -14.9% on 1d — thesis intact but confirmation missing.
15MLCOBUY PULLBACK6.61wk fc +34/+39 and PEG 0.36, but short/mid forecasts modest and pos at 100% on 1h/1d.
16FINVBUY PULLBACK6.4PE 4.12, recom 1.0, 1wk fc long +21, but forecast magnitudes small and near_term only 0.4.
17PFSIBUY PULLBACK6.3PE 8.97, near_term 1.0, but 1wk fc barely positive and earnings today = binary.
18MORNWAIT6.01wk fc +20/+30 nice but 1h/1d short fc slightly negative and near_term only 0.2.
19MSFTWAIT5.91d fc +12/+17 but 1wk fc all negative -3.7/-4.3/-4.7 — weekly trend deteriorating.
20TMUSWAIT5.8Positive 1d fc but 1wk mid/long turn slightly negative and CEO 'reducing free offers' narrative unclear.
21HLLYWAIT5.7PEG 0.16 attractive but 1h/1wk long forecasts turn negative (-16.9/-3.8).
22LRNWAIT5.4Multiple negative forecasts on 4h/1wk long (-14/-19) and at YTD +38.73% — mean-reversion risk.
23FUTUAVOID5.2Huge short/mid fc but 1wk fc all NEGATIVE (-2.5/-13/-21) AND DOJ probe + class actions — landmine.
24SEWAIT5.01h/4h fc negative, EPS cuts flagged in headlines, pos already 99% on 1h.
25ADBEWAIT4.9targetUpside only 6.4%, recom 2.62 (weakest in pool), insider selling headline.
26TOSTAVOID4.5bullish_prob only 0.2, 1h/4h/1wk fc all negative, at 100% of range on every TF — sell setup.
27FRSHAVOID4.3ALL forecast horizons negative on every TF, bullish_prob 0.6, at 98.8% of 1wk range.
28ITRGAVOID4.21d/1wk forecasts negative (-10/-29), near_term_bullish 0, PE 60 despite low PEG.
29KMPRAVOID3.8recom 3.0 (weakest), ROE 1.51%, profit margin 0.89%, auto leadership exit — broken.
30SPROAVOID3.5Down 55% on weekly, 1wk fc all negative, $68M cap penny stock — speculative, not a value buy.

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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.