Today’s AI Top Pick: MNSO

7/24/2026 · Reliable Bullish screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Reliable BullishMNSOBUY NOW9.1 / 107/24/2026

MNSO is the cleanest multi-timeframe bull setup in this pool with the best combination of fundamentals and forecast tape. Every timeframe is pointing up: 1h fc_short +10.68%/mid +17.46%/long +26.68%, 4h +28.95%/+46.37%/+56.07%, 1d +40.25%/+44.71%/+48.80%, and 1wk +30.29%/+54.31%/+52.81%. That is genuine 1h+4h+1d+1wk agreement with the daily and weekly forecasts both showing ~45–55% upside. Bullish_prob = 1 and near_term_bullish = 1. Crucially, the tape is NOT stretched. Position in 21-bar range is 16.22% (1h), 70.44% (4h), 55.69% (1d) and just 16.07% (1wk), with a -25.94% weekly drawdown — this is a beaten-down name mid-basing, not a chase. RSI 50.7 is neutral, leaving room to run without being overbought. Fundamentals are outstanding for the price: PEG 0.16, fwdPe 7.79, PE 13.09, ROE 18.98, profit margin 9.06%, and sales YoY +30.50% — the strongest growth of any large-cap name on the list. Analyst recom is 1.18 (near strong buy) with 58.4% target upside, and fundamental_score is a full 8. Compared to PDD (cheaper still, but near_term_bullish only 0.5), BILI (weaker weekly forecast +2.52%), TMUS (post-earnings gap headline overhang), and GRAB (CEO selling headline), MNSO has no material negative news — just generic Zacks daily-move blurbs. Why today: the setup has retraced hard on the weekly, near-term probability just flipped to 1, and daily forecast (+40% short, +44% mid) is the highest short-horizon read on any large fundamentally-clean name in the screen. Waiting for a lower entry risks missing the base breakout as the 4h/1d position already lifted to mid-range while the weekly is still deep in its range.

MNSO forecast chart
Entry zone
$11.90–$12.35 (buy current $12.23; scale in on dips toward $11.90 4h support)
Stop loss
$10.90 (below the recent 4h swing low and ~11% below entry — invalidates the base)
First target
$14.20 (aligns with 4h fc_short +16% and daily fc_short +40%-off-lows; ~16% upside)
Longer target
$17.75–$18.50 (daily/weekly fc_mid ~+45%, coincides with target-price consensus $19.37/58.4% upside)
Risks
  • China ADR/tariff risk — MNSO is a China consumer ADR; any renewed US-China tariff or ADR-delisting rhetoric could gap the stock 5–10% lower
  • Weekly drawdown of -25.94% shows the primary trend is still down; a break below $10.90 opens a slide toward the weekly low
  • Debt/Equity 1.05 is elevated for a retail-adjacent name if consumer demand in China softens
  • Weekly position_in_range only 16% — while bullish for entry, it also confirms sellers still control the higher timeframe
  • Institutional ownership only 9.76% means thin sponsorship; moves can be volatile on light volume
Honorable mentions
PDDCheapest quality name in the pool (PE 9.08, fwdPe 6.75, PEG 0.60) with profit margin 21.86% and ROE 25.52. All-TF forecasts positive (1d +13.8/+29.2/+30.7%, 1wk +23.2/+46.2/+42.7%). Only knock: near_term_bullish 0.5 and 1d position 68.76% is already mid-upper range.
BILIStrong 4h/1d forecasts (+25.98/+35.28 and +14.41/+46.03), positive recent SeekingAlpha 2Q preview reiterating Buy, PEG 0.52, recom 1.30, and 1wk position only 10.31% — but the 1wk forecast (+2.52% short) is soft, capping the swing conviction.
Full ranking (30)
#SymbolVerdictScoreRead
1MNSOBUY NOW9.1Full 4-TF bullish alignment, PEG 0.16, sales +30.5%, daily forecast +40% with no negative news.
2PDDBUY NOW8.4Cheapest large-cap in pool (fwdPe 6.75) with weekly fc_mid +46%; only mild near-term_bullish score.
3BILIBUY NOW8.1Beaten down (1wk pos 10%), 1d fc_mid +46%, reiterated Buy ahead of 2Q preview.
4PTCBUY NOW7.91d fc_mid +41.5%, weekly fc_long +37.9%, bottom-of-range (1wk pos 0), PE 10.78, oper margin 40.6%.
5GRABBUY PULLBACK7.6Deep drawdown -21.6% wk, 1d fc_mid +37.6%, but CEO-share-sale headline dampens conviction.
6EXLSBUY NOW7.5All TFs green, 1d fc_mid +33.6%, ROE 28, ChartMill flagged strong fundamentals.
7TMUSBUY PULLBACK7.4Deep weekly drawdown -22.15%, 1wk pos 0, but earnings-driven selloff overhang — wait for stabilization.
8ADBEBUY NOW7.3fwdPe 7.71, ROE 62.9%, 1wk fc_long +113%, but recom 2.62 the weakest here and drawdown -24%.
9TRMBBUY NOW7.21d fc_mid +34.7%, 1wk pos 5.69%, PEG 0.81, undervalued narrative flagged in headlines.
10CALXBUY NOW7.11d fc_mid +53.4%, positive rural-AI broadband news, but PE 47 and short float 10.2% add risk.
11ADSKBUY PULLBACK7.0Strong forecasts across board but 1h at 100% of range — chase risk; wait for retrace.
12HDBBUY NOW7.01d fc_mid +43.8%, 1wk pos 0, Barchart flagged buy-the-dip on NIM panic.
13PEGABUY PULLBACK6.8Highest forecast magnitudes (1wk fc_long +58.9%) but -16.9% drop on AI-purchase delays is a real fundamental headline.
14MSFTBUY NOW6.7Highest-quality name, all TFs supportive on daily/4h, but weekly forecasts negative and modest upside vs peers.
15CRMBUY NOW6.61d fc_mid+long ~30/28%, $1.6B VA contract catalyst, PEG 0.79.
16SPOTWAIT6.41h fc_mid negative -5.99, mixed signals, valuation stretched (ps 4.75).
17KKRBUY PULLBACK6.3Solid multi-TF but modest forecasts (~15-19% mid) and near_term_bullish only 0.4.
18NICEBUY PULLBACK6.2Cheap (fwdPe 6.85) but Morgan Stanley downgrade to Equal-Weight caps momentum.
19HURNBUY PULLBACK6.1Strong 4h/1d, but 1wk forecasts are all negative — pullback thesis only.
20MLCOBUY PULLBACK6.01d at 100% of range, chase risk despite strong wk forecast +51%.
21PFSIWAIT5.9Modest forecasts, DebtEq 3.98, Barclays downgrade lingering.
22NRDSBUY PULLBACK5.8PEG 0.25 attractive but short_float 11.12% and small cap add volatility risk.
23WKWAIT5.7PE 219, oper margin -0.26, 1h/4h forecasts marginally negative.
24FINVBUY PULLBACK5.6Extreme value (PE 4, fwdPe 3.31) but near_term_bullish 0 makes today premature.
25DCBOWAIT5.41h/4h/1d fc_short all negative; only weekly bullish — mixed signal.
26BRBUY PULLBACK5.3Solid quality but PEG 1.39 and modest forecast magnitude limit upside.
27FRSHAVOID5.01h fc_short/mid negative -13.6%/-11.3%, near-term forecast deteriorating despite Guggenheim init.
28TOSTAVOID4.81h/4h fc_short all negative, PE 43, bullish_prob only 0.5 — weakest signal in pool.
29HLLYWAIT4.61wk fc_short -7.21%, near_term_bullish 0, sales YoY only 1.87%.
30SPROAVOID4.2$67M micro-cap with -50% weekly drawdown; forecasts of +100%+ are noise, not signal.

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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.