Today’s AI Top Pick: PDD

8/13/2026 · Bullish Consensus Reliable Bullish screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Bullish Consensus Reliable BullishPDDBUY NOW8.8 / 108/13/2026

PDD is the cleanest setup in the pool right now: elite fundamentals, positive multi-timeframe forecast alignment, AND it is NOT extended within its 21-bar range. Fundamentals are best-in-class among mega-caps here — PE 9.7, fwdPe 7.21, PEG 0.65, ROE 25.52%, profitMargin 21.86%, debtEq 0.01, salesYoY 11.69%, and analyst recom 1.93 with targetUpsidePct 31.7. This is a $126B business trading like a value name with growth-tier margins, which is rare in this list. The forecast tape confirms in every timeframe: 4h fc_short/mid/long +21.95/+21.66/+19.63, 1d +4.39/+19.74/+15.38, and 1wk +1.66/+28.20/+33.06 — no negative bar anywhere, and the weekly long forecast (+33%) is actually the strongest horizon, which argues for a real trend, not a one-bar squeeze. Bullish_prob is 1.0 and near_term_bullish is a perfect 1.0. Position in 21bar range is 84%/55%/42% across 4h/1d/1wk — the daily and weekly readings mean you are buying in the middle of the range, not chasing a top like BR (100% weekly), MORN (100% 4h), or CRM (100% weekly). News flow is a genuine tailwind rather than noise: Wasatch just initiated a new position (institutional accumulation), and the Shein Aug-28 HK listing headline plus Sea/Shopee's $1B profit story reinforce the China/SE-Asia e-commerce bid — PDD is the cheapest, most profitable way to express that. There is no landmine headline (no guidance cut, no regulator action, no dilution). Why TODAY vs. waiting: on the daily chart PDD is at only 55% of its 21-bar range with a −4.95% drawdown from the high — that IS the pullback. Waiting for a deeper dip risks missing the weekly +28/+33% mid/long forecast reasserting. MNSO and BILI have bigger forecast magnitudes but weaker/mixed news (MNSO tape flagged 'falls harder than market', BILI missed on weekly momentum with pos_in_range 6-9% signaling a still-falling knife). PDD gives you the highest quality × best entry × cleanest news combination.

PDD forecast chart
Entry zone
$87.00–$89.00 (current $88.39; buy on any intraday dip toward the 4h VWAP; add on a reclaim of $90)
Stop loss
$82.50 (below the 1d 21-bar drawdown floor; ~6.7% risk)
First target
$100–$103 (aligns with 4h fc_mid +21.66% and daily fc_mid +19.74%)
Longer target
$115–$118 (aligns with 1wk fc_long +33% and analyst targetUpsidePct 31.7%)
Risks
  • China ADR regulatory/geopolitical tail risk — a single Washington or Beijing headline can gap the name 8-12% overnight regardless of the setup
  • Weekly recent_21bar_pct is -11.44% and dd_from_21bar_high is -15.65%, so the higher timeframe is still repairing — a failed reclaim of $92 keeps the intermediate downtrend alive
  • Shein's Aug-28 HK IPO could rotate sector capital away from PDD/Temu in the near term
  • Recom of 1.93 is the weakest in the top tier of this screen (MNSO 1.17, WAY 1.16 are stronger) — analyst upside is only 31.7% vs. 60%+ for peers
  • 4h pos_in_range is already 84%, so a same-day chase above $91 has poor risk/reward — respect the entry zone
Honorable mentions
MNSOBest deep-value setup: PEG 0.16, fwdPe 7.44, recom 1.17, salesYoY 30.5%. Forecasts are enormous (4h +59/+57/+54, 1wk +42/+48 mid/long) and pos_in_range is only 16% on daily/weekly = you are buying the pullback, not the top. Slightly negative price-action headlines and smaller cap ($3.6B) keep it #2.
EPAMFundamentally cheap (fwdPe 7.11, PEG 0.73) and Q2 beat is a fresh catalyst. Forecast stack is monstrous on 4h (+72/+84/+81) and 1wk long +71.96, but 4h pos_in_range is 98% — this is BUY_PULLBACK, not chase. Waiting for $95 is smart.
Full ranking (30)
#SymbolVerdictScoreRead
1PDDBUY NOW8.8Best fundamentals × cleanest multi-TF alignment × mid-range entry × positive news — the completeness pick.
2MNSOBUY NOW8.5PEG 0.16 with 4h fc +59% and pos_in_range 16% on the daily = deep-value pullback with explosive forecast.
3EPAMBUY PULLBACK8.0Q2 beat + fwdPe 7.11 + 1wk fc_long +71.96%, but 4h pos_in_range 98% — wait for a dip.
4BILIBUY NOW7.9Pos_in_range 6-9% on 1d/1wk is deeply oversold, 4h fc_long +57.8% and prob 1.0 — falling knife but reward-to-risk is elite.
5FUTUBUY NOW7.7ROE 28%, opMargin 69%, salesYoY 52.7%, 4h fc_mid +57.67%; SFC news clarified as non-investigation.
6PEGABUY NOW7.5ROE 54.7%, 4h fc_mid +58.53% with pos_in_range 60%, and fresh 'undervalued' + gov cloud catalyst.
7TMDXBUY NOW7.3ROE 36%, salesYoY 25.8%, 4h fc_long +66.5%; watch 23% short float as fuel.
8ADMABUY PULLBACK7.2Elite fundamentals (ROE 41.9%, PM 33%, PEG 0.47) but Q2 miss and 1wk fc_mid -16.4% argues for a lower entry.
9TRMBBUY NOW7.1Raised guidance + record ARR; near_term_bullish 1.0, 1d fc_long +23.56%.
10OLLIBUY NOW6.91d fc_mid/long +28.96%/+42.31%, salesYoY 16.7%, recom 1.44; 4h pos 92% caps immediate upside.
11STNBUY NOW6.8Q2 beat + raised guidance, 1d fc_long +25.88%, recom 1.31 — quality industrial compounder.
12KVYOBUY PULLBACK6.71wk fc_long +42.66% and salesYoY 28.9%, but Q2 gross margin guide down; 18% short float.
13TLKBUY NOW6.64h fc_long +32.4% at pos 100%, recom 1.46, but salesYoY -3.37% and PT cut 11.5% recently.
14MLCOBUY PULLBACK6.41wk fc_long +47.46% and fwdPe 8.1, but near_term_bullish 0 flags today is not the entry.
15NICEBUY NOW6.3fwdPe 7.76, 1wk fc_long +52.59%, DA Davidson raised PT to $115; recom 2.0 is the drag.
16CNMBUY NOW6.2Solid Industrials setup, 4h fc_short +13%, but salesYoY only 0.46% caps enthusiasm.
17WAYBUY PULLBACK6.1recom 1.16, salesYoY 19.2%, Barclays PT raise — but 4h/1d pos_in_range 100% means chasing.
18FIGRWAIT5.9Bernstein PT $70 but 1d fc_short -10.8% and only two TFs available; needs more confirmation.
19TRIBUY PULLBACK5.81d fc_long +27.6% but Cramer 'value trap' flag and 4h dd -6.16% suggest waiting.
20CRMBUY PULLBACK5.71wk pos_in_range 100% and software rotation risk; fwdPe 12.37 attractive but no rush.
21BRBUY PULLBACK5.61wk pos 100% and dd 0 — great biz, bad entry; 4h fc_mid +14.99% doesn't compensate.
22MORNBUY PULLBACK5.54h pos 100% with fc_short -5.25% is textbook 'don't chase'; wait for pullback to $185.
23NCNOBUY PULLBACK5.31wk fc_long +28.9% and Mortgage MCP launch, but PE 156.9 and 18% short float need a better entry.
24EFXWAIT5.21wk fc_long +23.5% but recom 1.86 and 4h pos 92% — no urgency.
25DSGXWAIT4.94h forecasts negative across the board (-5.81/-1.59/-4.02); PS 8.82 too rich for the setup.
26WHWAIT4.6salesYoY -2.21%, debtEq 5.57, Susquehanna cut PT to $80; muted forecasts don't justify the risk.
27MMYTAVOID4.01wk fc_short/mid/long -7.46/-16.93/-7.62 after a +66% recent run; classic mean-reversion warning.
28CDWAVOID3.64h all three forecasts negative (-5.36/-10.06/-8.42); recom 1.69 with only 14% target upside.
29REZIAVOID2.5bullish_prob 0, 1wk fc_mid/long -36.08/-38.67, profitMargin -7.39% — broken setup despite Q2 beat.
30ARXAVOID2.21d fc_short/mid/long -36.5/-37.9/-38.7 after +40% recent run; profitMargin -237.9%, ROE -432%.

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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.