Today’s AI Top Pick: PDD

7/28/2026 · 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 / 107/28/2026

PDD is the cleanest multi-timeframe bull setup in this pool. Every single timeframe forecasts positive returns across every horizon: 1h (+15.3%/+13.6%/+15.2%), 4h (+16.6%/+17.5%/+25.9%), 1d (+7.7%/+28.2%/+27.2%), and 1wk (+7.3%/+33.0%/+31.2%). No other candidate has that kind of uniform agreement — most 'bullish' names in this pool have a weak 1wk (BABA -5%, FUTU -13%, BILI -1%). Bullish_prob is 1.0 across the model set, and near_term_bullish is also 1.0. Crucially, PDD is NOT extended — the 1wk position_in_21bar_range is only 31.3% with a -18.5% drawdown from the 21-bar high, meaning you're buying a name that pulled back on the weekly frame but is already reasserting on the daily (dd_from_21bar_high on 1d only -1.49%). That's the textbook 'higher timeframe pullback, lower timeframe reversal' setup the screen is designed to catch. RSI 52.5 leaves plenty of room. Fundamentals are the best-in-class in this list: PE 9.25, fwdPE 6.87, PEG 0.62, ROE 25.5%, profit margin 21.9%, debt/equity 0.01, sales YoY +11.7%, EPS next Y +20%, analyst recom 1.93, target upside +37.9%, market cap $121B. You're buying a mega-cap grower at a small-cap-value multiple with zero debt. Headlines are supportive, not a landmine: ChartMill 'deeply undervalued value stock with zero debt,' plus benign Zacks/Yahoo coverage. Contrast with FUTU (DOJ probe + class actions — hard pass), WAY ('lost appeal'), MORN ('fully priced, fell 37%'), FRSH (forecast tape is outright negative across all TFs despite the screen pass). TODAY is the entry because 1d is already turning up (fc_short +7.65%) while weekly still shows discount — waiting risks losing the pullback edge.

PDD forecast chart
Entry zone
$84.50–$86.00 (current $85.39, buy on any intraday dip; add if it tags $83)
Stop loss
$78.50 (below the recent swing and roughly the 1wk dd base; ~8% risk)
First target
$96–$98 (aligned with 1d fc_mid +13%, ~1 month)
Longer target
$110–$115 (aligned with 1wk fc_mid/long +31–33%, 2–3 month swing)
Risks
  • China ADR regulatory/geopolitical risk — a single tariff or delisting headline can gap the name 10%+
  • 1h/4h position_in_21bar_range at 88%/97% means short-term is stretched; a same-day dip to $83 is plausible
  • Analyst recom 1.93 is the weakest among the top-tier fundamentals names (vs. 1.29 BILI, 1.18 MNSO)
  • Sales YoY +11.7% is decelerating vs. historical PDD growth — the cheap multiple partly reflects that
  • Weekly drawdown -18.5% means the name is in a broader downtrend on higher TF; failure of $83 support opens $78
Honorable mentions
BABASame China e-com bull setup, PEG 0.31, target upside +65%, strong 1h/4h/1d forecasts (+11 to +28%), and today's positive AI/cloud headline. Docked vs PDD because 1wk fc is negative (-3 to -8%) and 1h position is 92% of range.
MNSODeepest value in the pool (PEG 0.16, fwdPE 7.83, recom 1.18) with monster multi-TF forecasts (4h +45/54/60%, 1wk +6/54/60%) and 1h position at 0% of range — literally the least extended name here. Slightly softer news tape and $3.8B cap = higher volatility keep it at #3.
Full ranking (30)
#SymbolVerdictScoreRead
1PDDBUY NOW8.8Uniform positive forecasts across all 4 TFs, best-in-pool value (PE 9, PEG 0.62), 1wk still discounted at 31% of range.
2BABABUY NOW8.0Cheap China mega-cap with strong 1h/4h/1d tape and today's Radisson/ChatGPT-style cloud/AI narrative; weekly fc is the only blemish.
3MNSOBUY NOW7.8Cheapest PEG in pool (0.16), massive fc_mid/long across TFs, and 1h position at 0% of range — buy the compression.
4BILIBUY NOW7.5Big fc numbers (1d mid +38%), recom 1.29, positive Q2 preview, and mid-range positioning across TFs.
5PODDBUY NOW7.21d fc_mid +43%, fc_long +58%; earnings catalyst next week with strong 4h/daily confirmation.
6TRMBBUY NOW7.0All-TF green forecasts with target upside 45.7% and analyst commentary supportive; only concern is 100% position on 1h/4h/1d.
7EXLSBUY PULLBACK6.9Clean fundamentals (ROE 28, PEG 0.7), 1d fc_mid +30% but at 100% of 1h/4h/1d range — wait for dip.
8ADSKBUY PULLBACK6.7Recom 1.36, ROE 50, 1d fc_mid +21% but pinned at 100% of daily range with earnings preview overhang.
9NICEBUY NOW6.71wk fc +16/51/70%, fwdPE 7.5, but recom only 2.0 and 1h at 100% of range.
10ACNBUY PULLBACK6.5Massive 1wk fc (+20/69/87%) and positive ChatGPT catalyst today, but at 100% on 1h/4h/1d and target upside only 13.9%.
11CRMBUY PULLBACK6.41d fc_long +26%, VA AI deal catalyst, but Agentforce narrative under pressure and at 100% of 1d range.
12FIGRBUY PULLBACK6.34h fc_long +49%, target upside +71.9%, but daily fc mid is negative and news shows PT cuts.
13BRBUY PULLBACK6.21d fc_long +40%, ROE 42%, but 1h fc negative and analysts trimming positions.
14LRNWAIT6.1Only YTD-positive name (+38.7%), but 4h/1d fc mostly negative and 1wk fc_long -21%; trend exhaustion risk.
15CHWYBUY NOW6.01d fc +8/29/35%, 1wk fc +12/22/35%, ROE 63.8%, but weak op margin 2.6% and 12% short float.
16MSFTWAIT5.9Weekly fc negative (-4 to -5%) and mixed short-TF; wait for post-earnings clarity.
17MLCOBUY PULLBACK5.91d fc +16/23%, 1wk fc +34/39%, but 100% of 1h/4h/1d range and small $2.2B cap.
18PFSIWAIT5.7Cheap (fwdPE 6.16, PEG 0.33) but 1wk fc barely positive and mid-range; earnings this week is a coin flip.
19MMSBUY PULLBACK5.6Target upside 72%, fwdPE 6.7, but sales YoY -1.4% and 1wk fc mostly muted.
20WAYWAIT5.4Strong 4h/1d/1wk fc but 1h fc all negative (-20/-15/-4) and 'lost appeal' headline is a warning.
21SPOTWAIT5.3Positive news tape but no TF forecasts provided in the multi-TF block; fundamentals stretched (fwdPE 27.6).
22TMUSWAIT5.21wk fc negative across horizons and RSI 43.9; CEO comments on 'reducing free offers' adds subscriber risk.
23OWLWAIT5.1PE 118, ROE 3.9, 20% short float — screen pass masks weak profitability profile.
24CCCWAIT5.01wk fc massive (+14/54/70) but PE 109 and 1h fc deeply negative (-20/-13/-17); wait for confirmation.
25SEWAIT4.9Mixed forecasts (1h all negative), analyst EPS cuts flagged in news; wait post-earnings.
26MORNAVOID4.7RSI 62.8, near top of range on 4h/1d, and 'fully priced' headline calls out valuation risk.
27FUTUAVOID4.5Strong forecasts but DOJ probe + class actions in the US is a real landmine — do not touch.
28MNDYAVOID4.320% layoffs + AI pivot news, 20% short float, 1wk perf -71.9% — broken setup.
29TOSTAVOID4.01h/4h/1wk fc all negative, RSI 62.8, bullish_prob 0.2 — screen pass but tape is deteriorating.
30FRSHAVOID3.5Forecasts negative across every TF (-6 to -21%), bullish_prob 0.6 but near_term_bullish 0.0 — screen artifact.

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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.