Today’s AI Top Pick: OLLI
7/13/2026 · Undervalued Oversold screen · a free sample of K3vl4r’s AI-curated picks.
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OLLI is the cleanest 'screen + tape confirm' setup in the pool. Fundamentally it clears the value_oversold gate with real quality behind it: fwdPe 12.8, peg 0.92, roe 13.78%, profitMargin 9.13%, salesYoY +16.74%, debtEq just 0.38, and an analyst recom of 1.44 with targetUpsidePct 73.5%. Fundamental_score 7.25 with rsi 34.94 puts it in true oversold territory on a business that is actually growing — not a value trap masquerading as one. The forecast tape is what separates OLLI from the rest: near_term_bullish 1.0 with every timeframe pointing higher. fc_mid readings are +21.7% (1h), +35.0% (4h), +75.8% (1d), and +24.5% (1wk); fc_long extends to +80.9% on the daily and +51.1% on the weekly. That is the rare four-timeframe agreement the brief asks for. Bullish_prob is 1.0. Crucially, we are not chasing. Position_in_21bar_range is 13.06% on the daily and 2.59% on the weekly, with dd_from_21bar_high of −23.65% (1d) and −40.59% (1wk). The stock just tagged a 52-week low, and yet Truist reiterated Buy (target lowered to $80 but maintained) and Zacks flagged it as a turnaround setup — capitulation-style entry, not breakout chase. Comparables fall short: UWMC has bigger forecast numbers but debtEq 70.65 and profitMargin 1.97% make it a lower-quality vehicle; ORCL's daily/weekly forecasts diverge and fresh UK cloud-regulation headlines are a live overhang; AGI and EQT show weekly forecasts that are outright negative (−47% and −18% fc_long), breaking the multi-TF confirmation test. OLLI is the only name that pairs strong fundamentals, deep drawdown, unanimous TF alignment, and a supportive (not a landmine) news backdrop.

- Just printed a 52-week low — momentum is broken and the weekly is down −39.4% recent_21bar; a failed bounce could see $58 tested quickly.
- shortFloat 10.63% signals real bear conviction; any soft comp print could squeeze the wrong way first.
- instOwn 115% (over-100 reading) suggests heavy institutional positioning that can force-sell on any macro consumer-defensive rotation.
- 1h fc_short is only +0.29% — near-term momentum is flat; entry may chop before the multi-day forecast plays out.
- Consumer-defensive discretionary spend (closeout retail) is sensitive to any macro/tariff shock; guidance risk into next earnings is non-trivial given perfYtd −40.79%.
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | OLLI | BUY NOW | 8.4 | Every TF forecast green, 40% weekly drawdown, quality growth business with analyst support — the cleanest oversold-with-confirmation setup. |
| 2 | UWMC | BUY NOW | 7.6 | Massive forecast upside (+100%+) and fresh KBW upgrade, but lower-quality balance sheet keeps it #2. |
| 3 | AGI | BUY PULLBACK | 6.4 | Elite fundamentals (peg 0.23, profitMargin 51%) but 1wk fc_long −47% — wait for the weekly to base. |
| 4 | CNX | BUY PULLBACK | 6.0 | Cheap (pe 4.45) with 1h-1d forecasts positive, but weekly fc_long −27% and recom 3.33 argue patience. |
| 5 | ORCL | WAIT | 5.6 | Great franchise at fwdPe 12.89 but near_term_bullish only 0.2 and UK cloud-regulation headline is a fresh overhang. |
| 6 | EQT | WAIT | 5.2 | Solid E&P fundamentals but weekly forecasts flat-to-negative and stock just hit 52-week low without a bottom signal. |
| 7 | CRGY | WAIT | 4.8 | Positive SA coverage and analyst recom 1.44, but pos_in_range 100% on 1h means chasing the rip; negative weekly forecasts. |
| 8 | VZ | WAIT | 4.5 | Defensive yield play but forecasts are tepid (fc_mid 1d +1%) and weekly trajectory is negative. |
| 9 | VSNT | WAIT | 4.3 | Full Swing acquisition is a catalyst and 1h fc_short +14%, but only one TF available — insufficient confirmation. |
| 10 | ICL | WAIT | 4.2 | Near_term_bullish 1.0 helps, but pe 24, roe 4.39%, and recom 3.20 make it a weak version of the thesis. |
| 11 | MLI | WAIT | 3.9 | Quality industrial but forecasts turn negative on 1d (−6%) and 1wk fc_mid −45.6% — trend deteriorating. |
| 12 | AA | WAIT | 3.6 | Cheap on fwdPe 7.01 but daily/weekly forecasts all negative and two banks just cut PTs — momentum broken. |
| 13 | ECVT | AVOID | 2.9 | bullish_prob 0, profitMargin −7.87%, and forecasts negative across 1d/1wk — screen-pass but broken tape. |
| 14 | LX | AVOID | 2.5 | pe 1.39 optics can't offset fresh headlines about credit fears and −16.5% one-day drop — landmine live. |
| 15 | TOYO | AVOID | 2.0 | Just did a $50M share+warrant offering at $11 while trading $6.10 — active dilution overhang; shortFloat 63.85%. |
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