Today’s AI Top Pick: MNSO
8/3/2026 · Reliable Bullish screen · a free sample of K3vl4r’s AI-curated picks.
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MINISO is the cleanest multi-timeframe setup on the board today. Every forecast horizon points meaningfully higher: 1h fc_short +14.88% / mid +16.62% / long +18.50%, 4h fc_short +37.74% / mid +48.73% / long +38.81%, 1d fc_short +41.51% / mid +39.16% / long +34.08%, and 1wk fc_short +11.26% / mid +35.01% / long +46.83%. Near-term bullish probability is a maxed 1.0 with kronos bullish_prob = 1, and the forecast magnitudes are among the highest in the pool while remaining internally consistent (unlike APP, whose 1wk long collapses to -67.86%, or FUTU whose 1wk long is -25.73%). Crucially, MNSO isn't a chase. The 1wk position-in-range is only 35.43% with a -18.23% drawdown from the 21-bar high, so on the horizon that matters most for a swing trade there is real room to run. Yes, 4h shows pos_in_range 100 and 1d 94.61 — some short-term extension — but the weekly reset gives the setup a base rather than a blow-off. Fundamentals seal it: PEG 0.17 (best in the group), fwdPe 8.14, PE 13.73, salesYoY +30.5%, profitMargin 9.06%, ROE 18.98%, and recom 1.17 (essentially a unanimous strong buy) with targetUpsidePct +49.4%. Fundamental score is 8/8. News is a light net-positive: Zacks flagged Wall Street bullishness on 7/29, IP/yield story remains intact, and the lone negative — a Seeking Alpha downgrade to Hold citing capital allocation — is a valuation/style call, not a guidance cut, legal action, or dilution. Compare to TCOM (anti-monopoly fines, albeit resolved), FUTU (Hong Kong SFC asset freeze headline + ongoing DOJ probe), FICO (worst single-day drop in six years last week), NOW (300 job cuts and near_term_bullish 0), FRSH (forecasts all turning negative on shorter TFs despite passing the screen), and APP/PODD (earnings binaries next week). MNSO has none of those landmines. Why today rather than wait: the 1wk range position (35%) plus the daily/4h daily forecasts of +39-49% mean we're buying an already-established uptrend on a stock still 30%+ off YTD highs. Waiting for a pullback risks missing the base-breakout leg; scaling in with a tight stop below the recent swing is the correct risk/reward posture.

- Short-term extension: 4h pos_in_range 100% and 1d 94.61% — a 5-8% pullback would be normal and could shake weak hands before the move continues
- China consumer/ADR beta: sector correlation with TCOM, PDD, FUTU means a broad China-ADR risk-off day hits MNSO hard regardless of company-specific setup
- Capital allocation overhang flagged in 7/28 Seeking Alpha downgrade — if management announces another large M&A or buyback surprise, sentiment could sour further
- Profit margin only 9.06% and operMargin 13.77% are thinner than most peers — an FX or input-cost shock would compress EPS estimates (epsNextY 7.14 already modest)
- 1wk recent_21bar_pct is -18.23%, meaning the weekly trend is still repairing; a failed reclaim of the weekly range midpoint could stall the trade for weeks
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | MNSO | BUY NOW | 8.6 | All 4 TFs bullish with +35-47% mid/long forecasts, 1wk range only 35%, PEG 0.17, recom 1.17 — cleanest setup on the board. |
| 2 | TCOM | BUY NOW | 8.3 | PE 7.4 with 48% profit margin, near_term 1.0, monopoly overhang resolved with fines — only daily extension at 91% keeps it from #1. |
| 3 | ACM | BUY PULLBACK | 8.0 | Near_term 1.0, fresh airport win catalyst, all-TF green forecasts — but pos_in_range 100 on 1h/4h means wait for a dip. |
| 4 | WAY | BUY NOW | 7.7 | 1h pos 0.53% (deep discount) with 1d forecasts +40/+39/+32% and 1wk +18/+44/+53%; recom 1.16 and UBS Buy reiterated. |
| 5 | TRMB | BUY PULLBACK | 7.5 | Near_term 1.0 with every TF up but at 100% pos_in_range on 1h/4h with earnings pending — wait for a fill. |
| 6 | ZTS | BUY PULLBACK | 7.4 | Massive 1wk forecasts (+37/+81/+118%) and ROE 67%, but 1h/4h/1d pos_in_range all 98-100% — chasing risk pre-earnings. |
| 7 | PDD | BUY PULLBACK | 7.3 | Cheap (PE 9.65, fwdPe 7.15) with all-TF positive forecasts, but 1h/4h/1d pos_in_range all 99-100% — buy the dip. |
| 8 | INTU | BUY NOW | 7.0 | 1d forecasts +15/+50/+85% and 1wk +8/+40/+87% off a -28% weekly drawdown — deep-value setup with strong reversion signal. |
| 9 | META | BUY NOW | 6.8 | RSI 37.83 and pos in weekly range suggests a reset; strong cloud/AI narrative and fund_score 8, but forecast magnitudes modest. |
| 10 | PODD | BUY PULLBACK | 6.6 | Strong 1d/1wk forecasts (+49-63%) but 1h pos 100% and Q2 earnings 7/22 make timing tricky. |
| 11 | FINV | BUY NOW | 6.5 | PE 4.11, fwdPe 3.4, recom 1.00, near_term 1.0 with mid pos_in_range and steady positive forecasts across TFs — quiet value setup. |
| 12 | TIGR | BUY PULLBACK | 6.3 | 1d forecasts +52/+67/+61% and 1wk mid +76%, but 4h pos 100% and -49% YTD signals volatile tape. |
| 13 | TMDX | BUY NOW | 6.1 | ROE 45%, salesYoY 30%, forecasts positive across TFs, but 23% short float is a two-way risk into earnings. |
| 14 | CRM | BUY PULLBACK | 6.0 | 1d/1wk forecasts +11/+19/+22% with recom 1.71, but 1h/4h/1d all at 100% pos_in_range — bought hard already. |
| 15 | ADSK | BUY PULLBACK | 5.9 | Strong 1wk forecasts and recom 1.36 but 4h pos 100 and 1h pos 99 mean entry is at the top. |
| 16 | APP | WAIT | 5.7 | 1wk long forecast -67.86% undercuts the multi-TF thesis; earnings binary next week — landmine risk. |
| 17 | HLLY | BUY PULLBACK | 5.4 | PEG 0.16 and 4h forecasts +29-58%, but 1h fc_short -15% and micro-cap illiquidity limit position size. |
| 18 | MLCO | BUY NOW | 5.3 | 1wk forecasts +3/+36/+52% with pos_in_range 57 — reasonable entry, but 1h forecast slightly negative. |
| 19 | BR | WAIT | 5.1 | 1h forecast -15/-15/-18% contradicts higher-TF bulls; earnings tomorrow — sit out the print. |
| 20 | FIGR | WAIT | 5.0 | bullish_prob null and no 1wk data; forecasts strong on 4h (+57-64%) but too incomplete a signal to lead with. |
| 21 | ONON | WAIT | 4.8 | Near_term_bullish only 0.4, 1wk mid forecast -9.4% — momentum unclear despite decent fundamentals. |
| 22 | GDDY | AVOID | 4.6 | William Blair downgrade 8/1 plus fair-value trim — thesis actively deteriorating in headlines. |
| 23 | TMUS | WAIT | 4.5 | Deutsche Telekom merger reportedly stalled; 1wk forecasts flat/negative — wait for clarity. |
| 24 | FUTU | AVOID | 4.3 | HK SFC asset freeze headline plus ongoing DOJ probe outweighs bullish short-TF forecasts — legal landmine. |
| 25 | SPRO | AVOID | 4.0 | Micro-cap ($67M) with RSI 21 and 1wk forecasts negative (-30/-26%); catch-a-falling-knife risk despite screen. |
| 26 | SE | AVOID | 3.9 | bullish_prob 0.4 and 1h forecasts -14/-15/-15%; screen pass but tape is rolling over. |
| 27 | FICO | AVOID | 3.7 | Worst single-day drop in six years on 7/30 with analyst target cuts — deteriorating thesis. |
| 28 | PLTR | WAIT | 3.5 | PE 138, PS 56 at pos_in_range 44% weekly — earnings binary this week on stretched valuation. |
| 29 | NOW | AVOID | 3.3 | near_term_bullish 0, 1h/4h forecasts negative, and 300 layoffs headline — screen pass overridden by tape+news. |
| 30 | FRSH | AVOID | 3.0 | bullish_prob 0 and ALL forecasts turning negative across every TF — screen relic, not a buy. |
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