Today’s AI Top Pick: NOW
7/23/2026 · Recently Alerted GARP screen · a free sample of K3vl4r’s AI-curated picks.
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ServiceNow is the cleanest risk/reward on the board today. It carries a near_term_bullish score of 1.0 with every timeframe pointing higher on the mid/long horizon: 1d forecast is +4.05% short / +24.43% mid / +48.75% long, and the weekly stacks +9.01% mid and +19.69% long. Kronos probability is 1.0, RSI is a reset 39.49, and price sits at 58% of the 21-bar daily range with an -8.13% drawdown from highs — you're not chasing an extended chart, you're buying a leader that has already flushed. Fundamentals fully validate the tape: fwdPe 18.9, PEG 0.92, salesYoY +21.7%, epsNextY +22.2%, ROE 16.1%, profit margin 12.6%, debt/eq 0.21, instOwn 87.7%, and analyst recom 1.37 with 46.1% target upside.

- 1h forecasts are flat/soft (fc_mid +0.29%, fc_long +0.70%) and price sits at 84% of 1h range — near-term pullback risk of 2–3% before the daily/weekly forecasts play out
- 4h fc_short is -6.54% — a retest of $96–98 is plausible before the uptrend resumes
- YTD -37.7% and 1-year -50.4% show the stock has been in a distribution regime; a broader software rerating stall could re-anchor sentiment
- PE 56.8 and PS 7.05 are still premium multiples — any macro rate shock hits long-duration software first
- AI monetization narrative could disappoint if enterprise capex commentary softens in the next earnings print
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | NOW | BUY NOW | 8.7 | MTF alignment + reset RSI 39.49 + PEG 0.92 + two fresh AI-partnership catalysts today = cleanest buy on the board. |
| 2 | PODD | BUY PULLBACK | 8.3 | Best forecast magnitudes (1d fc_mid +66%) but Q2 earnings next week is binary event risk — wait for the print. |
| 3 | HSAI | BUY NOW | 7.9 | Huge MTF forecasts, near_term 1.0, split catalyst, but PE 266 and 0.7% operMargin cap conviction. |
| 4 | BILI | BUY NOW | 7.7 | All-timeframe positive forecasts, near_term 1.0, 1d fc_mid +45%, SeekingAlpha Buy reiteration into Q2. |
| 5 | ORCL | BUY NOW | 7.5 | 1d fc_long +52%, RSI 32, position 14% of range — deeply oversold blue-chip with clean fundamentals. |
| 6 | PDD | BUY NOW | 7.4 | 1d fc_mid +36%, fwdPe 6.77, PEG 0.61 — cheapest quality name with MTF confirmation. |
| 7 | DCBO | BUY NOW | 7.2 | 1wk fc_long +68%, ROE 133%, PEG 0.49, and a $70M buyback announced — small-cap compounder. |
| 8 | KKR | BUY NOW | 6.9 | 1d fc_long +12%, PEG 0.64, salesYoY 35.8%, positive deal-flow news, moderate but consistent MTF signal. |
| 9 | CALX | BUY NOW | 6.8 | 1d fc_mid +47%, fresh Northland upgrade, RSI 37 — but low position in range and thin margin quality. |
| 10 | MLCO | BUY NOW | 6.7 | 1wk fc_long +54%, fwdPe 7.95, PEG 0.35, positive 'worst is behind us' analyst take. |
| 11 | HURN | BUY PULLBACK | 6.6 | 1d fc_long +33%, but weekly forecasts negative and position 69% of daily range — wait for 4h retrace. |
| 12 | WK | BUY PULLBACK | 6.5 | 1wk fc_long +45% but PE 225, operMargin -0.26% — quality concern despite tape. |
| 13 | ONON | BUY NOW | 6.4 | PEG 0.43, salesYoY 36%, near_term 0.8, position 47% — steady grower with reasonable setup. |
| 14 | ALNY | BUY PULLBACK | 6.3 | 1d fc_long +37% and RSI 35, but 1wk fc_long -16.6% conflicts — JPM just lowered PT to $400. |
| 15 | SRAD | BUY PULLBACK | 6.1 | 1d fc_mid +41%, position 0% of range, but Stifel just cut PT — wait for base. |
| 16 | GRAB | BUY PULLBACK | 5.9 | 1d fc_mid +35% but -7.9% post-earnings gap and CEO share sales cap near-term upside. |
| 17 | EQX | BUY PULLBACK | 5.8 | PEG 0.18 and 4h fc_long +51.5%, but 1wk fc_long -32% and weekly drawdown -43.9% flag a broken chart. |
| 18 | SAP | WAIT | 5.6 | Solid quality but Barclays cut PT and forecast magnitudes trail the group. |
| 19 | NRDS | WAIT | 5.5 | PEG 0.26 and 1wk fc_mid +45%, but earnings CC coming and forecasts inconsistent. |
| 20 | PFSI | WAIT | 5.3 | Cheap (fwdPe 6.18) but Barclays downgrade + earnings next week = wait. |
| 21 | CELH | BUY PULLBACK | 5.2 | 1d fc_mid +53% and PEG 0.77 but shortFloat 19.95% and -33.7% weekly move signal turbulence. |
| 22 | SE | WAIT | 5.0 | 1h fc_short -19.6% and 4h fc_short -11.9% — near-term forecasts turning down at 82% of weekly range. |
| 23 | TOST | WAIT | 4.8 | 1h fc_mid -14.8%, 4h fc_mid -10.6%, only 18.2% analyst upside — deteriorating near-term tape. |
| 24 | APP | WAIT | 4.7 | Bull case rebuttal to short-seller is unresolved; PS 22.48 leaves no room for miss. |
| 25 | STVN | WAIT | 4.5 | PEG 1.4, fwdPe 23.6 — thinnest fundamental margin of screen, no fresh catalyst. |
| 26 | CRK | WAIT | 4.4 | 1d fc_mid +44% but recom 2.76, shortFloat 28.9%, PT cut by Citi, earnings decline expected. |
| 27 | ITRG | AVOID | 4.2 | 1wk fc_long -36.6%, weekly drawdown -40.8%, Zacks downgrade — chart is breaking. |
| 28 | FUTU | AVOID | 4.0 | At 100% of daily range AND DOJ probe/class actions — do not chase into legal overhang. |
| 29 | FRSH | AVOID | 3.8 | 1h fc_long -9.8%, 4h fc_long -10.7%, bullish_prob only 0.6, recom 2.0 — forecast rolling over. |
| 30 | PGY | AVOID | 3.2 | 1wk fc_long -48%, 1h fc_long -12%, position 0% of 1h range — cascading negative forecasts. |
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