Today’s AI Top Pick: MNSO

8/5/2026 · Value (control) screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Value (control)MNSOBUY NOW8.6 / 108/5/2026

MINISO (MNSO) is the cleanest 'value + confirming tape' setup in the pool right now. Fundamentals are elite for a growth name: fwdPe 7.76, PEG 0.16, salesYoY +30.5%, operMargin 13.77%, ROE 18.98%, recom 1.17 (near strong-buy), and targetUpsidePct 56.7%. It clears the screen with room to spare and doesn't rely on rerating alone — sales growth is doing the work. The multi-timeframe tape is one of the few in the list that agrees UP without being extended. 4h: recent +2.42%, forecast +43.67% short / +53.19% mid / +54.87% long, position 65.9% of range (not chasing). 1d: recent +5.5%, forecasts +19.2% / +52.6% / +43.7%, position 62.3%. 1wk: recent -21.63% (drawdown baked in), forecasts +1.19% / +34.25% / +42.07%, position only 23.4% of the weekly range. That is the ideal profile: weekly drawdown providing the value entry, daily/4h already turning up and confirming, and forecasts converging to +40-55% in the mid/long horizon on multiple TFs. bullish_prob 1.0 and near_term_bullish 0.8. Critically, TODAY is the entry, not later, because MNSO is still mid-range on 1d/4h and only 23% of range on 1wk — you are not chasing an extension like PDD (pos 100% on 4h & 1d) or Z (pos 99% on 1d). Compare to INTU, which has stronger 1d/1wk forecast magnitudes but a fresh Truist downgrade to Hold and pos 91% on 1h; and to ZTS, which has huge 1wk fc (+114.63%) but Q2 earnings are pending — an event risk on the day of entry. MNSO's headline flow is neutral-to-mildly-positive (Wall Street bullish notes, 'below fair value') with zero landmines. Bottom line: best combined score of (a) cheapest PEG in the group at 0.16, (b) all-TF forecast agreement, (c) not overextended, (d) no news landmine. That is why this is the buy today.

MNSO forecast chart
Entry zone
$12.20-$12.55 (current $12.46; scale in on any intraday dip toward the 4h VWAP)
Stop loss
$11.20 (below the 21-bar weekly range low, ~10% risk)
First target
$14.20 (~+14%, aligns with 1d fc_short +19% and clears 4h range top)
Longer target
$17.50-$18.50 (~+40-48%, aligns with 4h/1d/1wk mid-long forecasts of +43-55%)
Risks
  • China ADR / consumer-cyclical macro risk — perfYear is -36.07%, sentiment can flip on Beijing policy or tariff headlines
  • profitMargin only 9.06% and debtEq 1.05 — margin compression from FX or store-expansion cost would hurt
  • Instituional ownership only 9.77% — thin sponsorship means gappy price action on catalysts
  • 1wk recent_21bar_pct -21.63% signals the primary trend is still down; a failed reversal would put stop at $11.20 in play
  • No 1h forecast timeframe available for MNSO — intraday timing must lean on 4h, less precision on entry
Honorable mentions
PDDBest pure fundamentals in the pool (fwdPe 7.36, PEG 0.65, profitMargin 21.86%, ROE 25.52%) with 4h/1d/1wk forecasts all positive (+9 to +31%). Only reason it's #2: position 100% on both 4h and 1d — you're buying the exact top of the 21-bar range. Wait for a pullback to $85-87.
ZTSMassive forecast magnitudes (1wk fc_long +114.63%, 1d +59.36%) with near_term_bullish 1.0 and pos only ~55% of range. Fundamentals solid (profitMargin 27.79%, ROE 67%). Held back only by PEG 1.39 (highest in top group) and Q2 earnings event risk this week — otherwise this would be #1.
Full ranking (30)
#SymbolVerdictScoreRead
1MNSOBUY NOW8.6PEG 0.16, all-TF forecasts +34-55%, mid-range entry with 1wk drawdown baked in — no landmines.
2PDDBUY PULLBACK8.0Best fundamentals in pool but pos 100% on 4h & 1d — wait for pullback to $85-87.
3ZTSBUY PULLBACK7.9Huge 1wk forecast (+114%) and NTB 1.0, but Q2 earnings pending — size or wait.
4ADMABUY NOW7.5Deep-value healthcare (fwdPe 9.45, PEG 0.33) with 1d fc +77% and pos 0% of range — mean reversion candidate.
5ORCLBUY PULLBACK7.31d fc +28.6%, 4h fc_long +19%, but pos 92% on 1d and 1wk fc slightly negative — chase risk.
6BILIBUY NOW7.2NTB 1.0, 4h/1d/1wk forecasts all up (+21-37% long), positive Seeking Alpha preview into 2Q.
7WMGBUY NOW6.9PEG 0.33, ROE 68.5%, all TFs forecasting +5-20%, pos 2-14% of range — deep value tape.
8WAYBUY PULLBACK6.7Zacks upgrade to Buy, 1wk fc +45%, but pos 99% on 4h — wait for retest.
9ZBUY PULLBACK6.51d fc +73%, 1wk fc +82%, but 500 layoffs headline and pos 99% — extended.
10INTUBUY PULLBACK6.3Massive 1d fc +89%, but Truist downgrade to Hold is a fresh landmine — wait for base.
11STNBUY NOW6.1NTB 1.0, 1d fc +29%, clean news, USACE win — solid mid-conviction adder.
12ACMBUY PULLBACK6.01d fc +32%, Lisbon airport win, but pos 100% on 4h & 1d — chase risk.
13AGIWAIT5.8Great fundamentals (PEG 0.27) but 1wk fc -42% flags a top; gold miner rotation risk.
14TRMBBUY PULLBACK5.7Pos 100% on 4h & 1d after +16-19% run — good story, wrong entry.
15CELHBUY PULLBACK5.6salesYoY +123%, 1d fc +51%, but shortFloat 21% and PE 70 — volatility risk.
16HDBBUY PULLBACK5.51d fc +38%, but sales YoY -4.47% and pos 19% — needs base build.
17MLCOBUY NOW5.4fwdPe 8.11, 1wk fc +40%, but low ROE data and small cap $2.17B — starter position.
18LOPEWAIT5.2Post-earnings; recom 1.0 but 1wk fc modest and bullish_prob only 1.0 with soft forecasts.
19BIRKBUY PULLBACK5.0JPM raises PT to $58, shortFloat 20% squeeze potential, but 1d fc negative near-term.
20ORLAWAIT4.9Merger with EQX just closed; 1wk fc -53% signals trend break — let dust settle.
21EQXWAIT4.7Same merger dynamic as ORLA; 1wk fc -38% is a red flag.
22GDDYWAIT4.6debtEq 573 and roe 442 signal capital structure distortion — pass on this screen pass.
23VSTWAIT4.51wk fc -34% and salesYoY -24% — momentum breaking despite screen pass.
24PFSIWAIT4.4PT cut 13.6% this week; 'risky value' write-up — headlines override tape.
25FISWAIT4.3Beat Q2 but LOWERED guidance — narrative shift, targetUpside only 18.8%.
26NRGWAIT4.11wk fc -35%, dd -29% from high, pos 0% — falling knife despite value screen.
27VERXAVOID3.5PE 576, opMargin 0.14%, DA Davidson cut PT to $12 — screen artifact, not real value.
28TMUSAVOID3.2SpaceX competitive threat headlines + outage backlash; 1wk fc -4.58%.
29FUTUAVOID2.8DOJ probe and HK$125M SFC asset freeze headlines — hard pass despite great fundamentals.
30KKRAVOID2.5bullish_prob 0.2, NTB 0.0, all-TF forecasts negative (-4 to -15%), pos 100% — broken setup.

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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.