Today’s AI Top Pick: PDD
7/30/2026 · Reliable Bullish screen · a free sample of K3vl4r’s AI-curated picks.
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PDD Holdings is the cleanest confluence in the pool: fundamentals, tape, and news all point the same way. Valuation is genuinely cheap for the growth — trailing PE 9.63, fwdPe 7.13, PEG 0.63 — paired with best-in-class profitability (ROE 25.52, profit margin 21.86%, operating margin 22.14%) and virtually no leverage (debt/equity 0.01). This is not a broken screener hit; it is a $125B mega-cap growing sales 11.7% YoY at 21%+ net margins trading at single-digit forward earnings. The multi-timeframe forecast tape confirms in every horizon with no dissenters. Short-term: 1h +9.77%, 4h +14.16%, 1d +5.72%, 1wk +2.48% — all four green. Mid-term: 11.13% / 18.68% / 22.72% / 30.38%. Long-term: 13.82% / 21.47% / 24.24% / 32.06%. Bullish_prob 1.0, near_term_bullish 0.80. That is genuinely rare in this pool — most names here have at least one negative 1h or 1wk forecast; PDD has none. The one honest caution is that the daily is pinned at 100% of the 21-bar range with zero drawdown from the high, so you are technically chasing on the intraday. However, the weekly position is only 42.3% of range with a 15.5% drawdown from the weekly high — meaning the stock is still consolidating inside a larger base and hasn't broken out on the higher timeframe. That is the ideal buy structure: strength on short frames, room on long frames. News flow is supportive (ChartMill flagged it as 'Deeply Undervalued with Zero Debt' on 7/25; exceeded market returns on 7/27) with no legal, dilution, or guidance-cut landmines. Why today and not wait? The forecasted magnitudes compound quickly (5.7% short → 22.7% mid → 24.2% long on daily), and each timeframe is inflecting up simultaneously. Waiting for a pullback on the daily risks missing the move given the weekly still has 55%+ of range to travel before it is stretched. Size appropriately and buy in the current zone with a defined stop.

- Daily position at 100% of 21-bar range with 0% drawdown — chasing risk if broad market rolls over on the divided Fed hold headline
- China ADR regulatory/geopolitical tail risk (VIE structure, delisting rhetoric) can compress the multiple regardless of fundamentals
- Weekly recent_21bar_pct is -13.78% and drawdown -15.55% — the stock has been in a downtrend and needs to prove the base
- Consumer discretionary demand in China remains uneven; Temu unit economics still under margin pressure from tariff/logistics
- Short-float low (2.36%) means no short-squeeze fuel — the move must be earned on fundamentals alone
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | PDD | BUY NOW | 9.1 | Every timeframe green, PE 9.6/PEG 0.63/margin 21.9%, weekly still has room — best fundamentals-plus-tape combo in the list. |
| 2 | ACM | BUY NOW | 8.7 | All TFs positive, weekly at 26% of range (not stretched), fresh Lisbon Airport catalyst, ROE 27.7. |
| 3 | MNSO | BUY NOW | 8.5 | PEG 0.17, recom 1.17, near_term_bullish 1.0, 4h/1d/1wk forecasts +27% to +48% — only knock is daily at range top. |
| 4 | TIGR | BUY NOW | 8.3 | Massive forecast magnitudes (4h fc_mid +76%, 1d +81%), weekly position only 12.2%, operMargin 45%, positive fintech award news. |
| 5 | BILI | BUY NOW | 7.9 | 1h/4h/1d forecasts +14 to +35%, targetUpside 54%, positive SA preview — 1wk forecast slightly negative is the only smudge. |
| 6 | PODD | BUY NOW | 7.6 | 4h/1d/1wk fc_long 47–59%, salesYoY 32%, healthcare quality name; Q2 earnings due 7/22 already priced in. |
| 7 | INTU | BUY PULLBACK | 7.2 | 1d fc_long +82% and 1wk +67% are huge, but daily and 1h are stretched (100% of range) into a jittery Fed tape. |
| 8 | CRM | BUY NOW | 7.0 | All-TF positive forecasts, fwdPe 12.06, weekly 71% of range with modest 6% drawdown — steady large-cap compounder. |
| 9 | WAY | BUY PULLBACK | 6.7 | Blowout Q2 (+17.9% pop, raised 2026 guide) but 1h forecast now -18%, meaning the pop already ate the near-term move. |
| 10 | TRMB | BUY NOW | 6.6 | All-TF green, 1d fc_long +31%, 1wk position 35% — solid subscription-shift narrative. |
| 11 | FUTU | WAIT | 6.3 | Forecasts are huge (4h fc_long +65%) but DOJ probe/class action headline from 7/3 is a real overhang. |
| 12 | TME | BUY PULLBACK | 6.1 | 4h/1d fc_long +50/+73% and 1wk position 25%, but 1h forecast -8 to -10% says wait a beat. |
| 13 | SE | WAIT | 5.8 | 1h and 4h short-horizon forecasts negative (-10 to -14%) despite good fundamentals — tape says not yet. |
| 14 | FIGR | BUY PULLBACK | 5.7 | Oversold (1d -21.95%, rsi 36) with 4h fc_long +67%, but bullish_prob null and two brokers just cut targets. |
| 15 | PFSI | WAIT | 5.5 | 1h/4h at 0% of range and Q2 revenue/EPS just missed estimates — thesis needs to reset. |
| 16 | FINV | BUY PULLBACK | 5.4 | Cheap (fwdPe 3.48) with 1wk fc_long +22%, but short-horizon forecasts flat and near_term_bullish only 0.2. |
| 17 | MLCO | WAIT | 5.3 | 1h/1d short forecasts near zero or negative; 1wk fc_long +40.9% is nice but near_term_bullish 0.2. |
| 18 | DOX | BUY NOW | 5.2 | Steady value/dividend name, 1d fc_long +22.6%, targetUpside 49%, no drama — smaller magnitude limits score. |
| 19 | RLX | WAIT | 5.0 | Only 17.8% expected return, 1h fc_long +17% is the strongest read; near-term signal weak. |
| 20 | BR | WAIT | 4.9 | 1h short/mid/long all negative (-6 to -20%); mixed with 1d/1wk positive — no clean alignment. |
| 21 | TMUS | AVOID | 4.7 | SpaceX direct-to-mobile threat headline is a fresh structural overhang; 1wk forecasts negative across board. |
| 22 | NOW | WAIT | 4.5 | 1h and 4h short-horizon forecasts -10 to -17%, near_term_bullish 0.0 — wait for the 1d thesis to reassert. |
| 23 | PTC | WAIT | 4.3 | 1h/4h/1wk short forecasts all negative and Q3 print already digested; near-term momentum spent. |
| 24 | CCC | WAIT | 4.2 | PE 110, 1h fc -14%, thesis rides on Elliott takeover rumor — speculative, not clean. |
| 25 | RPC | WAIT | 4.0 | 1h short/mid/long all negative (-6 to -12%); higher TFs positive but confluence broken. |
| 26 | GDYN | AVOID | 3.7 | PE 111.7, operMargin 0.19%, near_term_bullish 0, recent analyst downgrade — signals don't support the valuation. |
| 27 | KMPR | AVOID | 3.5 | Recom 3 (Hold), 'Reasons to Sell' headline 7/22, auto leadership exit — screen passed on paper, story breaking. |
| 28 | LRN | AVOID | 3.3 | bullish_prob 0, 1wk fc_mid/long -20% to -29%, already +50% YTD — the model is calling for mean reversion. |
| 29 | SPRO | AVOID | 3.0 | $68M microcap, 1wk fc_long -40%, 4h drawdown -42% — headline forecasts look big but tape is falling apart. |
| 30 | SPIR | AVOID | 2.8 | Sales -36% YoY, operMargin -111%, up 40% YTD with weekly fc negative — no fundamental floor. |
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