Today’s AI Top Pick: PDD

7/29/2026 · Reliable Bullish screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Reliable BullishPDDBUY NOW8.8 / 107/29/2026

PDD is the cleanest set-up in the pool today: multi-timeframe agreement is essentially unanimous with every horizon (1h/4h/1d/1wk) showing positive forecasts across short, mid, and long — fc_short 14.46%/16.95%/6.20%/6.01%, fc_mid 13.54%/16.67%/28.40%/25.22%, fc_long 17.21%/25.01%/25.17%/34.20%. bullish_prob is 1.0 and near_term_bullish is 1.0, which is the maximum confluence available in this list. Crucially, PDD is NOT stretched. Position in the 21-bar range is 83/97/93 on intraday but only 33.43% on the weekly with a −17.94% drawdown from the 21-bar high — so on the timeframe that matters most for a swing, price is still in the lower third of the range and mean-reverting up. That is the ideal 'not chasing' profile the brief asks for. Compare to PODD (weekly 27%) or BILI (weekly 24%) which are similar, but PDD's fundamentals blow both away. Fundamentals are the tiebreaker and PDD wins decisively: PE 9.34, fwdPE 6.93, PEG 0.61, ROE 25.52%, profit margin 21.86%, operating margin 22.14%, essentially zero debt (debtEq 0.01), sales growth 11.69%, target upside 36.5%, and a $122B market cap so it's institutional-grade liquidity, not a small-cap gamble. Fundamental_score is a full 8/8. That's a rare combination of deep-value multiples and high-quality growth. News is clean — no landmines. Recent Zacks/ChartMill coverage explicitly flags PDD as 'deeply undervalued' with 'zero debt and strong profitability.' Contrast with FUTU (DOJ probe/class actions), INTU (TD Cowen downgrade), MNSO (broker downgrade to Hold), TMUS (nationwide outage), NOW (layoffs), MLCO (price target cut) — all otherwise strong screens undercut by a specific negative catalyst. PDD has none. Today is the right entry because the tape is bullish across every timeframe, the weekly hasn't extended yet, and there's no headline overhang forcing a wait.

PDD forecast chart
Entry zone
$84.50 - $86.50 (current 85.99; buy on any small intraday dip to VWAP or the prior 4h consolidation ~85)
Stop loss
$79.50 (below the 21-bar weekly drawdown floor of -17.94% and 1d range low; ~7% risk)
First target
$95 - $97 (aligns with fc_mid on 1h/4h ~+13-17% and clears the recent weekly high area)
Longer target
$108 - $115 (fc_long 1d +25% / 1wk +34%, also close to analyst target upside of +36.5%)
Risks
  • China ADR regulatory/geopolitical risk — any renewed US-China delisting or Temu tariff headlines could gap the name 8-12% independent of fundamentals
  • Intraday extension: 4h position 97.29% and 1d 93.37% mean a short-term pullback of 3-5% is likely before continuation
  • Sales growth has decelerated to 11.69% YoY vs. historic 30%+; a soft Q2 print could invalidate the growth thesis and force a re-rate to fwdPE 5x
  • Temu competitive pressure from Amazon Haul / Shein could compress margins from the current 22% band
  • Weekly forecast (+6% short) is the weakest horizon — if broader market rolls over, PDD's beta means larger drawdowns before the mid/long targets play out
Honorable mentions
PODDAll-timeframe agreement (fc_short +5.26/16.79/12.42/4.23, fc_mid +6.45/48.42/35.51/27.70), bullish_prob 1, near_term 1, weekly position only 27% with -26% drawdown — plenty of room. Fundamentals score 8, PEG 0.78, ROE 23%, salesYoY 31.9%. Slightly richer valuation (fwdPE 20.79) than PDD keeps it at #2.
BILIAlso full multi-timeframe bullish (fc_short 16.25/21.5/9.11/-1.05, fc_mid 24.25/26.68/36.14/13.04), weekly position 24% — undextended. Positive SeekingAlpha 2Q preview reiterating Buy. Lower quality fundamentals than PDD (profit margin 4.58%, operMargin 4.13%) and 1wk fc turned slightly negative short-term, so #3.
Full ranking (31)
#SymbolVerdictScoreRead
1PDDBUY NOW8.8All timeframes green, weekly at 33% of range, PE 9.3 with 25% ROE — best risk/reward in the pool.
2PODDBUY NOW8.4Full MTF alignment, weekly drawdown -26% with fc_long +39%, ChartMill flagging quality growth.
3BILIBUY NOW8.1Bullish across all four TFs, weekly at 24% range, SeekingAlpha Buy reiterated ahead of 2Q26.
4TIGRBUY NOW7.7Massive forecasts (1d fc_mid +85%), weekly position 14% of range — deep oversold snap-back setup.
5TMEBUY PULLBACK7.21d fc_mid +65.7%/long +72%, weekly at 22%, but 1h forecast turned negative — wait for the dip.
6TRMBBUY PULLBACK7.0Clean MTF alignment but RSI 67.27 and 1d at 100% of range — chase risk, buy $55.
7ADBEBUY PULLBACK6.91wk fc_long +68%, ROE 63%, PE 14.3 — but sits at 100% of daily range post-earnings pop.
8WAYBUY PULLBACK6.84h/1d/1wk strongly bullish (fc_long +23/27/51%) but 1h fc_short -20% signals near-term pullback.
9FUTUWAIT6.6Forecasts monster (fc_long +47/64/43%) but DOJ probe + class actions is a real overhang.
10ADSKBUY PULLBACK6.5MTF green with fc_long +14.5% weekly, but RSI 67 and 1d at 99% range — wait.
11PDD_dupBUY NOW6.4placeholder — ignore
12MLCOBUY PULLBACK6.31d/4h at 100% range but 1wk fc_mid +42%, Citi Buy — pullback to $5.30 is entry.
13SEWAIT6.21h fc negative -13%, 1wk position 90% — over-extended; near-term risk to $100.
14INTUWAIT6.01d fc_long +92% but TD Cowen downgrade + 1h/4h fc negative — landmine near-term.
15CRMBUY PULLBACK5.91d fc_long +26%, 1wk +33%, but 1d position 96% — buy $170 pullback.
16MNSOWAIT5.8PEG 0.17 and fc_mid +45% but SeekingAlpha downgrade to Hold is a fresh cap.
17EXEBUY PULLBACK5.6Post-earnings beat, PE 6.6, but 1wk fc turned negative and 1h at 0% of range.
18FINVWAIT5.5Cheap (PE 4.17) but 1h fc -3% and 1d fc -2%; forecasts skew to long horizon only.
19FIGRWAIT5.34h fc_long +56% and position at 0% of range oversold, but bullish_prob null and 1d fc negative short-term.
20PFSIWAIT5.2Pre-earnings — 1d fc_mid +18.7% but debtEq 3.98 and 1wk fc flat; wait for print.
21NOWWAIT5.01h/4h forecasts negative, layoff headline, fwdPE 22 rich — pass despite 1d fc_long +33%.
22TMUSWAIT4.8Fresh nationwide outage headline; forecasts modest (+3-13%) and 1wk fc slightly negative.
23SPROAVOID4.51wk fc all negative (-17 to -29%), $69M cap, weekly drawdown -57.89% — falling knife.
24CCCWAIT4.31wk fc_long +60.5% but 1h/4h forecasts deeply negative (-12 to -19%) and PE 112.
25KMPRAVOID4.21h fc_long -25%, ROE 1.5%, profit margin 0.89%, leadership exit headline — thesis broken.
26DOXWAIT4.11h fc negative and salesYoY -2.71%; value trap risk despite 4% yield narrative.
27OWLWAIT4.0PE 120, shortFloat 20.4%, pre-earnings — no edge to enter today.
28BRWAIT3.9PEG 1.52, RSI 64.8, no near-term catalyst; better opportunities elsewhere.
29RPCWAIT3.71h fc -6% and 1wk fc turned -4.66%; ROE 6.85% doesn't justify PE 42.7.
30FRSHAVOID2.8bullish_prob 0, all forecast horizons negative (-2 to -18%) — broken tape despite screen pass.
31LRNAVOID2.5bullish_prob 0.2, 1wk fc_long -26.5%, YTD +47.7% already extended — sell setup, not buy.

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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.