Today’s AI Top Pick: MNSO
8/7/2026 · Reliable Bullish screen · a free sample of K3vl4r’s AI-curated picks.
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MINISO (MNSO) is the highest-conviction buy today because it combines the cleanest fundamentals in the pool with a forecast tape that says the bulk of the reset is in the rearview. Valuation is genuinely cheap for a 30.5% sales-growth business: fwd P/E 7.86, PEG 0.17, ROE 18.98%, profit margin 9.06%, debtEq 1.05 (manageable), analyst recom 1.17 (Strong Buy), and targetUpsidePct 54.6%. Fundamental_score is 8/8 and bullish_prob is 1.0. The multi-timeframe forecast is unusually large in magnitude AND anchored at a healthy spot in the range. 4h forecasts print +44.58/+56.38/+49.61 short/mid/long with the stock down only 1.04% from the 21-bar high; daily forecasts are +15.52/+44.32/+44.74 with position at 60% of range (not chased); and — most importantly — the weekly bar is at only 22.73% of its 21-bar range with a 21.81% drawdown and weekly forecasts of −1.12/+35.65/+47.30. That is exactly the setup the screen wants: a bombed-out weekly (perfYtd −33.01%, perfYr −36.28%) with the daily/4h already turning up and the model calling for a mean-reversion move. Near_term_bullish is 0.8 with bullish_prob 1.0. Compared to the other 8/8 fundamental names: WAY has cleaner near-term (1.0) but is further extended (1d pos 69%, weekly 69%) and forecast magnitudes are smaller (weekly +5.6/+41/+42 vs MNSO’s bigger 4h/1d numbers); FUTU’s weekly forecasts are actually NEGATIVE (−4.78/−18.09/−10.93) despite the pretty 4h; TCOM has fresh negative regulatory headline (China curbs OTA power over hotels 8/7) and weak 1h/4h forecasts; BILI has a similar range profile to MNSO but weaker fundamentals (PE 42.6, profit margin 4.58%, ROE 9.35%). MNSO’s recent headlines are neutral-to-mildly-constructive (Wall Street bullish views, ‘below fair value’) — no landmines like the guidance cuts hitting FOUR and HUBS. Why today, not later: the 4h and 1d are already inflecting up (4h recent +3.15%, 1d recent +5.43%), so the weekly-basing thesis is being confirmed by the shorter frames — waiting risks buying 5-10% higher. Position at 22% of the weekly range means the risk/reward is asymmetric here: a small stop below the weekly base contains the trade while the model forecasts 35-47% mid/long upside that aligns with the 54.6% analyst target.

- China consumer/regulatory risk — ADR-specific delisting or tariff headlines can gap the name 10%+ overnight (perfYtd already −33.01%)
- 4h pos_in_range at 87.56% means a 3-6% pullback is very possible before the sustained move; sizing should account for near-term chop
- 1wk fc_short is slightly NEGATIVE (−1.12%) — the weekly turn is not fully confirmed; the trade leans on 4h/1d confirmation
- debtEq of 1.05 is not extreme but is higher than most peers here (BILI 0.61, TCOM 0.19); rising-rate sensitivity
- No imminent positive catalyst — this is a fundamentals+tape trade, not an event trade; if broader tape rolls over, mean reversion can stall
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | MNSO | BUY NOW | 8.6 | Weekly pos at 22% + massive 4h/1d forecasts (+44/+56/+49) + PEG 0.17 + recom 1.17 = best asymmetric setup in the pool. |
| 2 | WAY | BUY NOW | 8.3 | All-TF alignment, near_term_bullish 1.0, weekly fc +41/+42, fresh Buy upgrade — only knock is extended 4h at 86% of range. |
| 3 | FINV | BUY NOW | 7.8 | PE 4.09, recom 1.00, all TFs positive with pos-in-range near 50%; cleanest value setup. |
| 4 | ONON | BUY PULLBACK | 7.5 | 4 TFs available, near_term 1.0, PEG 0.44, salesYoY 36%; earnings 8/11 is the reason to wait or size small. |
| 5 | BILI | BUY NOW | 7.3 | Weekly pos 22.7% + dd −26.68%, 4h fc +28/+40/+47, PEG 0.54; similar setup to MNSO but weaker margins. |
| 6 | TIGR | BUY NOW | 7.2 | Weekly pos 12.93%, huge 4h forecasts (+64/+71/+68), operMargin 45.3%, salesYoY 48%; small cap volatility risk. |
| 7 | TME | BUY PULLBACK | 7.0 | 4h fc +38/+55/+59, profitMargin 26.47%, but earnings imminent — event risk before the model’s big number prints. |
| 8 | PEGA | BUY NOW | 6.9 | Weekly dd −28.59%, pos 25.6%, 4h fc +30/+48/+59, roe 54.69%; deep basing setup. |
| 9 | FIGR | BUY PULLBACK | 6.8 | Bernstein PT raise to $70, 4h fc +41/+40/+44, but bullish_prob null and no weekly TF — less confirmation. |
| 10 | NICE | BUY NOW | 6.7 | Weekly fc +7/+52/+77, dd −17%, fwdPe 7.64, debtEq 0.02; solid earnings just reported. |
| 11 | MMS | BUY NOW | 6.6 | fwdPe 6.43, targetUpside 80%, weekly fc +19/+34, Q3 EPS beat; sales miss caps enthusiasm. |
| 12 | ACM | BUY PULLBACK | 6.5 | Solid MTF, ROE 27.71%, big Lisbon Airport win, but 4h/1d already at 83-84% of range. |
| 13 | MLCO | BUY NOW | 6.4 | Weekly fc +35/+54, PEG 0.35, fwdPe 8.02; ‘worst is behind us’ narrative from SA. |
| 14 | FUTU | BUY PULLBACK | 6.2 | 4h/1d strong but WEEKLY forecasts negative (−4.78/−18.09/−10.93) — that’s a red flag on the multi-TF test. |
| 15 | PDD | BUY PULLBACK | 6.1 | Fundamentals great (roe 25.5%, debtEq 0.01) but 4h/1d pos at 95%/93% — chasing here. |
| 16 | TCOM | BUY PULLBACK | 6.0 | PE 7.28, profitMargin 48%, but 8/7 China OTA regulatory headline is a fresh negative and 1h/4h forecasts near zero. |
| 17 | EXE | BUY PULLBACK | 6.0 | Fundamental score 8 but weekly forecasts NEGATIVE across all horizons (−3.7/−5.4/−3.5) — thesis broken on longer TF. |
| 18 | KVYO | WAIT | 5.8 | Big weekly dd (−23.6%), decent forecasts, but Benchmark downgrade on 8/7 and PE 789 — wait for lower entry. |
| 19 | TRMB | BUY PULLBACK | 5.7 | Extended: 4h pos 92%, 1d pos 87%; earnings 8/12 event risk right after entry. |
| 20 | SPRO | WAIT | 5.5 | Micro-cap in freefall (weekly dd −55%, near_term 0.4); catch-a-knife territory despite fundamental score 8. |
| 21 | CRM | BUY PULLBACK | 5.5 | All TFs at 91-95% of range with layoff headlines and weekly fc_short negative — no entry edge today. |
| 22 | STN | WAIT | 5.4 | 1d pos 99.5%, 1h fc negative, weekly fc mixed — perfectly extended, no edge. |
| 23 | BR | WAIT | 5.3 | 1d pos 98%, 4h 86%, weekly forecasts all NEGATIVE (−4.48/−3.78/+1.19) — post-beat exhaustion. |
| 24 | GDDY | WAIT | 5.2 | 1d dd −13.67% could be entry but debtEq 573 and recom 2.2 (weakest here) — better setups exist. |
| 25 | RPC | WAIT | 5.0 | Weekly pos 100%, small fc magnitudes, bullish_prob only 0.6 — no room to run. |
| 26 | SE | AVOID | 4.6 | near_term_bullish 0.0, bullish_prob 0.4, 4h fc_short −10.99, 1wk pos 100% — clearly topped short-term. |
| 27 | CCC | AVOID | 4.4 | bullish_prob 0.2, all TFs at 100% of range, 4h fc_short/mid NEGATIVE (−2.17/−8.38) — chase and pray. |
| 28 | QTWO | AVOID | 4.0 | RSI 71.85, 4h fc −16.29/−6.72/−2.44, pos 100%, bullish_prob 0.2 — screen artifact, tape says short. |
| 29 | FOUR | AVOID | 3.8 | 8/6 GUIDANCE CUT — 4h pos 2.29% shows the damage; fundamentals no longer trustworthy until reset digests. |
| 30 | HUBS | AVOID | 3.6 | Q2 miss + guidance cut on 8/6, TD Cowen PT to $220, 4h dd −18.98% — falling knife despite pretty long-term fc. |
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