Today’s AI Top Pick: ORCL

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

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Today's pick · TurnaroundORCLBUY NOW9.2 / 107/24/2026

Oracle is the cleanest setup on the board today. The fundamentals are elite for a stock that just got cut in half: fwdPe of 11.01, PEG of 0.42, ROE of 54.28%, profit margin of 25.21%, operating margin of 33.32%, and analyst target upside of 109% with a recom of 1.54. It passed the turnaround screen with a -50.38% one-year drawdown while EPS growth next year is projected at +35.5% — this is exactly the deep-value + growth combination the lens is hunting for. The tape confirms. Bullish_prob = 1, near_term_bullish = 1, RSI at 29.63 (deeply oversold), and position_in_21bar_range is a rock-bottom 48/23/9/0 across 1h/4h/1d/1wk — you are absolutely NOT chasing here, you are buying at the low of the range. Forecasts stack beautifully in the actionable horizons: 1h fc_short +27.52% / fc_long +42.22%; 4h fc_mid +32.92% / fc_long +33.49%; 1d fc_mid +43.61% / fc_long +56.13%. The only wart is the 1wk which shows fc_long -5.3%, but the 1wk drawdown of -45.35% already reflects the pain and the shorter timeframes point to a mean-reversion bounce that dominates the near/mid horizon. The news catalyst is the tiebreaker. On 2026-07-24 (today) headlines confirm a $7B Pentagon contract, retail 'buy' calls, and premarket rebound — a hard, tangible catalyst that undercuts the bear thesis and validates the 'crash overdone' narrative in the SeekingAlpha headline. Contrast this with FUTU (DOJ probe + class actions — landmine, cannot be #1 despite great forecasts), BIRK (Seaport downgrade), or SPOT (weak 1wk forecast -22.58% and no fresh catalyst). Why TODAY: RSI 29.63 + bottom-of-range positioning + fresh Pentagon catalyst + strong forecast magnitudes across three timeframes = the setup that rarely lines up. Waiting risks paying up as the news catalyst propagates; the risk/reward at $122.96 with a stop below $110 (recent structure) is asymmetric.

ORCL forecast chart
Entry zone
$120–$124 (scale in at current $122.96, add on any dip toward the 4h low)
Stop loss
$109.50 (below the 1wk drawdown low and psychological $110)
First target
$145 (approx +18%, aligns with 1d fc_short/mid midpoint)
Longer target
$175–$185 (approx +45–50%, aligns with 1d fc_long +56% and analyst 109% upside implied)
Risks
  • 1wk fc_long is -5.3% — the weekly trend has not confirmed the reversal yet; a failed bounce could see retest of $110
  • debtEq is elevated at 3.94 — leverage risk if capex commitments (AI cloud buildout) come under scrutiny
  • -50.38% 1-year performance means overhead supply from trapped longs at every 5% up-move
  • PS ratio 5.13 still isn't cheap in absolute terms if AI cloud revenue disappoints on next print
  • Pentagon deal narrative could fade quickly if follow-through buying stalls — headline-driven pops often fade within 3 sessions
Honorable mentions
NOWServiceNow just boosted annual forecast on Q2 (fresh positive catalyst), fc_1d mid/long are +30.9%/+62.68%, RSI 36.18, pos_in_range 18–25% (not chasing). Slightly richer valuation (fwdPe 18.31) and near_term_bullish only 0.6 keeps it at #2.
PODDBest fundamentals across the board — ROE 23%, profitMargin 10.44%, salesYoY 31.93%, fc_1d mid/long +52%/+59.67%, and 1wk fc_long +58%. Insulet Q2 earnings ahead (2026-07-22 preview) is both catalyst and risk — thus BUY_PULLBACK feel but forecasts too strong to ignore.
Full ranking (30)
#SymbolVerdictScoreRead
1ORCLBUY NOW9.2RSI 29.63, bottom-of-range, $7B Pentagon catalyst today, fwdPe 11 with 109% target upside — the setup.
2NOWBUY NOW8.5Raised annual guide + Q2 beat, fc_1d_long +62.68%, pos_in_range 18% — clean post-earnings breakout base.
3PODDBUY NOW8.3ROE 23%, fc_1d_mid +52%, fc_1wk_long +58%, near_term_bullish 1 — best fundamentals in the pool.
4HSAIBUY NOW7.8fc_short/mid +32–61% across 1h/4h/1d, 8-for-1 split approved — but PS 34.29 is stretched.
5CELHBUY NOW7.5fc_1d_mid +64%, fc_4h_long +49.65%, targetUpside 106%, salesYoY 123% — deep oversold at bottom of range.
6BILIBUY NOW7.3Multi-TF alignment 1h/4h/1d all positive, PEG 0.52, Buy reiterated pre-Q2 print.
7TMDXBUY NOW7.1fc_1d mid/long +72%/+61%, ROE 45.22%, profitMargin 27% — but 23.68% short float is a coiled spring both ways.
8CALXBUY NOW7.0All 4 timeframes green on forecasts, recom 1.22, fresh rural AI broadband deployment news.
9TMUSBUY PULLBACK6.9Goldman sees 35% upside, defensive telecom, but 1wk fc only +3.74% and post-earnings gap risk.
10GRABBUY NOW6.7RSI 33.79, fc_1d_mid +37.59%, PEG 0.39 — but CEO share sales headline is a mild negative.
11UBERBUY NOW6.5Court win vs NY, AI-driven cost cuts, ROE 36.55% — but PEG 2.97 and forecasts more modest.
12ONONBUY NOW6.3PEG 0.4, salesYoY 36%, fc_1d_mid +22.43%, pos_in_range low.
13STEPBUY NOW6.0fc_1h_short +25%, fc_4h_long +44%, salesYoY +69.89% — but negative ROE (-750) and Morgan Stanley PT cut.
14MNDYBUY PULLBACK5.8Restructuring around AI, but shortFloat 21.14% and worst 1yr perf (-75.36%) demand caution.
15WINGBUY PULLBACK5.7-57.76% perfYear, targetUpside 72.6%, but DA Davidson cut PT — needs a base.
16SRADWAIT5.6Two brokers cut PTs this week, near_term_bullish = 0, 1h forecasts negative.
17CHWYBUY PULLBACK5.5fc_1d mid/long +47.86%/+52.12%, ROE 63.82%, but salesYoY only 6.14% — thin growth for the multiple.
18KKRBUY PULLBACK5.3Solid fundamentals, targetUpside only 29%, near_term_bullish 0.4 — no rush.
19FUTUWAIT5.0Elite fundamentals + huge forecasts, but DOJ probe + class actions = landmine, cannot be #1.
20DASHWAIT5.0fwdPe 38 and pos_in_range 0 on 4h/1d — knife catch on a rich-multiple name.
21HLIWAIT4.9fc_1wk_long -6.69%, KBW PT cut, decliner into earnings.
22SPOTWAIT4.71wk fc_long -22.58% — weekly trend not confirming, PEG 1.14 rich for the setup.
23FRSHWAIT4.61h/1wk forecasts negative, recom exactly 2.0, pos_in_range 69% weekly — no edge.
24ARESWAIT4.5Morgan Stanley hold call, targetUpside only 18.4%, fwdPe 16.6.
25FICOWAIT4.4PS 12.4 and targetUpside only 25%, cutting mortgage prices — margin risk.
26BIRKWAIT4.3Seaport downgrade, 1h/4h forecasts negative, bullish_prob only 0.8.
27MLCOWAIT4.2Pos_in_range 100% on 1d — at the top, chasing risk despite decent fundamentals.
28SEWAIT4.0fc_1h/4h_short both negative (-13.37%/-6.86%), bullish_prob 0.5 — momentum breaking.
29TOSTWAIT3.9All 1h forecasts negative, 1wk fc_short/long negative, bullish_prob 0.5 — no signal alignment.
30PLTRAVOID3.5PS 56.61, PE 138, fc_1wk mid/long -67.9%/-73.27% — extreme valuation with breaking weekly tape.

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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.