Today’s AI Top Pick: MNSO
8/12/2026 · Reliable Bullish screen · a free sample of K3vl4r’s AI-curated picks.
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MINISO (MNSO) is the cleanest setup in this pool: it passes the reliable_bullish screen with bullish_prob=1 and near_term_bullish=1, and the forecast tape agrees across every timeframe. 4h forecasts are +58.97/+56.33/+55.41%, 1d +27.07/+53.68/+40.49%, and 1wk +11.92/+36.53/+58.26% — that is rare full-stack multi-timeframe alignment with mid/long horizons carrying the load rather than a spiky 1-bar outlier. Crucially, MNSO is NOT extended: pos_in_21bar_range is 38.75% (4h), 0% (1d), and 14.74% (1wk), with drawdowns of -8.02% and -23.23% off recent highs. That is a textbook 'buy the dip on a name whose forecasts still point sharply higher' profile. Fundamentally, this is one of the best value/growth combos on the board: PE 12.71, fwdPE 7.53, PEG 0.16, salesYoY +30.5%, profit margin 9.06%, ROE 18.98%, analyst recom 1.17 (near strong buy), and targetUpsidePct 61.7%. Compare with names like ADMA (RSI 66.77, at 91-95% of range — chasing), TRMB (100% of daily range), FUTU (DOJ probe headline), ONON (Q2 guide-down, stock -17.8% intraday), HUBS (management cut its own customer-growth forecast), ACM (lower 2026 guidance), VRSK (Delaware court blocked AccuLynx exit), FINV (fresh sell-side downgrade), and QTWO (bullish_prob 0.2). MNSO has no comparable landmine — the recent news is 'stock fell, may sit below fair value,' which is entry noise, not a broken thesis. Why today rather than wait: the 1d position is at 0% of the 21-bar range and RSI is 42.54 — mean-reversion energy is coiled, not spent. Every waiting day risks the setup starting to fill the +27% short-horizon forecast without you. The multi-horizon fan (short/mid/long all positive and increasing on 1wk) tells you the model expects a base-and-run, not a single squeeze. The combination of screen-passing fundamentals, extreme cheapness (PEG 0.16, fwdPE 7.5), universally bullish analyst posture, and a signal stack that is simultaneously deeply oversold on daily/weekly AND forecasting +40-58% on longer horizons is the single best asymmetric entry in the pool.

- China ADR macro/regulatory risk (VIE structure, tariff headlines) — a shock could invalidate the setup regardless of company fundamentals
- Debt/Equity 1.05 is the highest among the value names here; a rate/credit shock hits harder
- Stock is in a documented downtrend (perfYtd -35.79%, perfYear -40.01%) — you are catching a falling knife if the 1wk -22.41% momentum continues
- Consumer discretionary exposure at a time when peers (ONON) just guided lower — read-through risk into MNSO's next print
- Low institutional ownership 9.83% means thinner sponsorship and more volatile flows than the mid-cap average
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | MNSO | BUY NOW | 9.1 | Full multi-TF bullish stack, deep pullback (0% of daily range), PEG 0.16 with 30% sales growth — cleanest asymmetric entry in the pool. |
| 2 | MMS | BUY NOW | 8.7 | Extreme oversold (0% of 1d and 1wk range) with +45%/+39% mid-horizon forecasts and PE 8; only knock is -3.3% sales YoY. |
| 3 | BILI | BUY NOW | 8.3 | Multi-TF alignment with 1d +43% mid forecast, mid-range positioning, peg 0.52, no landmine news. |
| 4 | TIGR | BUY NOW | 7.8 | Massive forecast magnitude (+70% mid on 4h/1d), deep annual drawdown; recent downgrade tempers conviction slightly. |
| 5 | PODD | BUY PULLBACK | 7.4 | Huge long-horizon forecasts (+94% 4h long, +54% 1wk long) but near_term_bullish only 0.4 — let the base finish. |
| 6 | FIGR | BUY PULLBACK | 7.2 | 4h forecasts +48-59% from 1.5% of range; Bernstein raised PT to $70; but no confirmed bullish_prob and only two TFs. |
| 7 | PDD | BUY PULLBACK | 7.1 | Cheap (fwdPE 7.33) with +28% 1wk mid/long forecasts, but at 69-81% of intraday ranges and regulatory overhang. |
| 8 | MLCO | BUY PULLBACK | 6.9 | 1wk long forecast +44%, PEG 0.36; near-term only 0.4 and 4h at 100% of range — wait for retrace. |
| 9 | ETOR | BUY PULLBACK | 6.8 | RSI 23.5 with targetUpside +86.7%; missing bullish_prob and only 4h/1d data limits conviction. |
| 10 | SPRO | BUY PULLBACK | 6.6 | Strong short/mid daily forecasts but 1wk forecasts negative across the board — split signal on a micro-cap. |
| 11 | FUTU | WAIT | 6.5 | Strong forecasts but at 71-81% of range and DOJ probe / HK SFC headlines are active landmines. |
| 12 | ADMA | WAIT | 6.3 | At 91-95% of daily range with RSI 66.77 and Q2 miss — chase risk high despite great fundamentals. |
| 13 | PEGA | BUY PULLBACK | 6.2 | 4h/1d forecasts +32-56% but stock at 79-94% of range; needs a pullback before entry. |
| 14 | NICE | BUY PULLBACK | 6.0 | 1wk forecasts +44/+72%, DA Davidson raise to $115; near-term at 73-81% of range. |
| 15 | WAY | BUY PULLBACK | 5.9 | Positive earnings + PT raise, but at 87-90% of ranges and near_term_bullish only 0.2. |
| 16 | ONON | WAIT | 5.7 | Great forecast stack but the -17.8% Q2 guide-down is fresh — let the reaction settle before catching. |
| 17 | KVYO | WAIT | 5.6 | 1wk long forecast +38.7% but PE 866 and Q2 lowered gross margin outlook — not clean. |
| 18 | TRMB | WAIT | 5.3 | At 99-100% of daily range into an earnings print — worst entry timing regardless of thesis. |
| 19 | CCLD | BUY PULLBACK | 5.2 | Small forecasts, 1wk long -9.7%; targetUpside 125% is speculative on a micro-cap. |
| 20 | BR | WAIT | 5.0 | At 100% of weekly range with RSI 66 and only single-digit short forecasts — priced in. |
| 21 | FINV | WAIT | 4.9 | PE 3.76 is tempting but fresh Seeking Alpha downgrade citing regulatory pressure is an active headwind. |
| 22 | MNDY | AVOID | 4.7 | Wolfe downgrade + 'growth slows' narrative, near_term only 0.2 and negative short-horizon forecasts on 4h/1h. |
| 23 | HUBS | AVOID | 4.5 | Management itself cut customer-growth forecast — the model's +73/+103% 1wk projections face a broken narrative. |
| 24 | GDDY | WAIT | 4.4 | Decent 1d mid/long forecasts but debtEq 573 and targetUpside only 15.5% — limited edge. |
| 25 | VRSK | AVOID | 4.2 | Delaware court blocked AccuLynx exit — active legal overhang trumps the forecast signal. |
| 26 | ACM | AVOID | 4.1 | Weaker Q3 and lower 2026 guidance just landed — forecast tape is stale versus fundamentals. |
| 27 | RPC | WAIT | 4.0 | At 98% of weekly range with 'shares are falling today' headline and negative 1wk forecasts. |
| 28 | ADTN | AVOID | 3.6 | Negative margins, Zacks Strong Sell, analyst PT cuts — fundamentals do not support the deep-oversold bounce thesis. |
| 29 | QTWO | AVOID | 3.3 | bullish_prob 0.2, RSI 70, at 100% of weekly range with negative short-horizon forecasts. |
| 30 | ARI | AVOID | 2.8 | bullish_prob 0, sales down 63% YoY, and 1wk forecasts negative — screen artifact, not a real setup. |
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