Today’s AI Top Pick: ONON

9/9/2026 · Value (control) screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Value (control)ONONBUY NOW9.1 / 109/9/2026

ONON is the cleanest setup on the board: it hits every criterion the framework weights most heavily. Multi-timeframe agreement is textbook — every horizon (1h/4h/1d/1wk) points up (fc_short/mid/long: -0.47/6.31/20.35 on 1h, +4.08/28.18/42.31 on 4h, +21.33/48.37/63.23 on 1d, +7.30/22.87/47.60 on 1wk). Bullish_prob = 1 and near_term_bullish = 1. Critically, this is not a chase: position_in_21bar_range is 17.48% (1h), 4.62% (4h), 2.22% (1d) and 0% (1wk), with drawdowns of -6.36% to -32.93% and RSI at 28.79 (oversold). You are buying near the floor of the range, not the ceiling. The fundamentals are the strongest 'GARP' profile in the pool: PEG 0.37 (best in the entire list), fwdPe 13.39, salesYoY +29.34% (fastest grower here), profitMargin 12.31%, ROE 24.23%, debtEq 0.32 (clean balance sheet), recom 1.67 (strong buy), and targetUpsidePct +60.5%. The screen itself (fwdPe ≤15, PEG ≤1.5, mcap ≥$2B) is satisfied with room to spare and expected_return_pct sits at 76.2% — one of the highest. News flow is a genuine tailwind, not a landmine. Investor Day is scheduled Sept 22 (near-term positive catalyst window), Zacks flagged robust APAC growth, and a bull piece argues the stock could triple in 7 years. No dilution, no guidance cut, no regulator, no short-report. Compare that with BILI (just priced a $700M convertible + equity placement — hard pass on dilution), ORCL (100% of daily range, earnings tomorrow = binary event risk), PDD (screens beautifully but Trump's death of the $800 de minimis loophole is a direct hit to Temu economics), and WAY (pinned at 100% of 4h range with near-term forecasts turning negative). Why TODAY vs. waiting: ONON is already deep in the pullback (perfYtd -41.33%, RSI 28.79, four TFs at low-range), and the forecast tape has already flipped up across every horizon. Waiting for a lower entry risks missing the Investor Day catalyst on Sept 22 and the rebound the multi-TF forecasts anticipate. Size in now, add on any flush.

ONON forecast chart
Entry zone
$26.80–$27.50 (starter at spot ~$27.38, add on dip to $26.80 which is just above the 21-bar low zone)
Stop loss
$24.40 (below the recent weekly low; ~11% risk — invalidates the oversold bounce thesis)
First target
$31.50 (short-term forecast +15% zone, ~1d fc_short +21% target)
Longer target
$38–$40 (aligns with 1d fc_long +63%, 1wk fc_long +47.6%, and analyst upside +60.5%)
Risks
  • Consumer discretionary + apparel exposure: perfYear -39.67%, so tape is still in a downtrend and could re-break lower before basing
  • shortFloat 7.69% — modestly elevated; a broken low could trigger algo momentum selling
  • Investor Day Sept 22 is a two-sided event; disappointment on FY guide could kill the setup
  • 1h forecast is only -0.47% short — near-term momentum hasn't fully turned yet, so early entries may sit dead for days
  • FX/tariff exposure as a Swiss-based footwear brand selling into US; any tariff escalation echo (like PDD's Temu situation) is a risk
Honorable mentions
ACM1wk pos 14.21%, 4h pos 0%, forecasts +54/57/40% on 4h and +4/39/38% on 1d, bullish_prob 1, benefits from AI data-center design tailwind (Pure Water SV win). Slight docking for lower fundamental_score (7.5) and slower salesYoY (-4.24%).
BIRKSitting at 0–8% of range across TFs with RSI 32.39, fwdPe 11.57, PEG 0.73, bullish_prob 1. Michael Burry disclosed 5.2% stake — real hard-money catalyst. Just barely behind ONON on growth quality.
Full ranking (15)
#SymbolVerdictScoreRead
1ONONBUY NOW9.1Every TF forecast up, bottom of range on all four, RSI 28.79, PEG 0.37, Investor Day catalyst — cleanest GARP setup on the board.
2ACMBUY NOW8.2Bottom-of-range with huge 4h forecasts (+54/57/40) and AI data-center design wins.
3BIRKBUY NOW8.0Oversold, low in range, Burry 5.2% stake disclosed — hard catalyst layered on clean fundamentals.
4PDDBUY PULLBACK7.5fwdPe 6.53, PEG 0.68, low in range with strong forecasts — but de minimis tariff death is a direct Temu headwind.
5BABABUY PULLBACK7.01d pos 0%, PEG 0.29, AI pivot story — but weekly forecasts flat/negative and a 'stark warning' analyst note.
6FISBUY PULLBACK6.7fwdPe 5.88 with weekly forecasts +11/+56/+75, but AI/OpenAI disruption headline is a real overhang.
7ADSKBUY PULLBACK6.51d pos 1.39% oversold, forecasts positive, but 4h at 96% of range — wait for the 4h to reset.
8ADMABUY PULLBACK6.3PEG 0.45, roe 41.9%, but 4h at 96% of range and 1wk fc turned slightly negative near-term.
9MNDYBUY PULLBACK6.01wk fc +79/+106 is huge but near_term_bullish=0 and 1wk perf +25% means don't chase here.
10TMUSWAIT5.8Fundamentals fine but forecasts modest (+4/+6/+10 on 1d) and weekly forecast negative.
11FUTUWAIT5.54h at 93% of range and weekly forecasts -3/-23/-26 — momentum is stretched with weekly warning.
12ETORWAIT5.2Missing bullish_prob and hourly data; insider selling ($3.12M) offsets Keybanc initiation.
13ORCLWAIT5.0Earnings tomorrow with 1d pos at 100% of range and negative near-term forecasts — binary event risk at the top.
14WAYWAIT4.54h pinned at 100% of range with near-term forecasts turning negative — chase risk.
15BILIAVOID3.2Just announced $700M convertible + concurrent equity placement — dilution overhang trumps the forecast.

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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.