Today’s AI Top Pick: PDD
8/3/2026 · Undervalued Emerging screen · a free sample of K3vl4r’s AI-curated picks.
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PDD is the cleanest expression of the 'undervalued_emerging' thesis on the board today. The fundamentals are best-in-class among the pool: trailing P/E 9.65, forward P/E 7.15, PEG 0.64, ROE 25.52%, profit margin 21.86%, debt/equity 0.01, and 41.84%… actually, a rock-solid balance sheet with sales +11.69% YoY. It clears the screen with the most room to spare of any large-cap here, and analyst recommendation of 1.93 with 32.1% target upside supports the setup rather than requiring a stretch. Where PDD separates from the pack is multi-timeframe alignment. Every timeframe is green: 1h fc +10.7/+10.2/+13.6%, 4h +9.7/+18.8/+17.4%, 1d +11.8/+20.5/+18.7%, and — critically — 1wk +6.1/+23.8/+26.7%. That is 4-for-4 agreement with the mid/long-horizon forecasts accelerating rather than fading, which is the exact profile that separates a durable trend from a single-bar outlier. Bullish_prob is 1.0 and near_term_bullish is 0.8. Contrast with FRSH (bullish_prob 0, weekly forecast negative), FUTU (DOJ probe headline), TMUS (merger roadblock), and WMG (CFO stepped down effective immediately) — all of which have either broken tape or a landmine. The one blemish is position-in-range: 99–100% on 1h/4h/1d, meaning we are buying breakout, not dip. However, the weekly still shows a -15.35% drawdown from the 21-bar high with pos_in_range only 43%, so on the timeframe that matters for a swing trade there is real room. YTD is -21.9% and 1-yr is -21.94%, so we are not chasing a parabolic run — we're re-entering a compressed, cheap large-cap that is just now inflecting. Recent headlines are neutral-to-positive (Zacks/ChartMill flagging it as deeply undervalued, zero debt). Waiting for a shallow 3–5% pullback is acceptable but risks missing the move given all four forecast horizons point higher. MNSO, ORCL, and ACM are close seconds, but MNSO carries a fresh 'Downgrade to Hold' from Seeking Alpha, ORCL sits at the range top with a shakier 4h short-term print (-1.02%), and ACM has sales -0.38% YoY with only 3.88% net margin. PDD wins on the composite of fundamentals + tape + clean news.

- Position in 21-bar range is 99–100% on 1h/4h/1d — near-term pullback of 3–5% is plausible before continuation
- China ADR regulatory/geopolitical overhang; ADRs can gap on Beijing or US policy news independent of fundamentals
- Sales growth has decelerated to 11.69% YoY vs. prior 40%+ prints — a Temu-related miss could re-rate the multiple
- Weekly recent_21bar_pct is -7.78% with a -15.35% drawdown from high — trend on the highest timeframe is not yet confirmed up
- Short float only 2.36% so no squeeze tailwind if broader tape sells off
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | PDD | BUY NOW | 8.7 | 4-for-4 timeframe alignment, best fundamentals in pool (fwdPe 7.15, PEG 0.64), weekly fc_long +26.7%, no bad news. |
| 2 | MNSO | BUY NOW | 8.4 | All-TF bullish with 1wk +46.8% long fc, fwdPe 8.14 and PEG 0.17 — only knock is a fresh SA downgrade to Hold. |
| 3 | ORCL | BUY NOW | 8.2 | Huge forecast magnitudes (1d fc_long +41.68%), ROE 54.28%, Alphabet partnership tailwind; near top of 1h/4h range. |
| 4 | ACM | BUY NOW | 8.0 | All TFs green, fresh Lisbon Airport design win, fwdPe 10.78, RBC Outperform reiterated — sales growth is the weak spot. |
| 5 | TRMB | BUY NOW | 7.8 | Near_term_bullish 1.0, all-TF green (1d fc_long +28.5%), fwdPe 13.87; growth only 3.25% YoY caps upside. |
| 6 | BILI | BUY PULLBACK | 7.6 | 1h/4h/1d fc mid/long +19–37%, near_term 1.0, but pos_in_range 98–100% — wait for dip. |
| 7 | WAY | BUY NOW | 7.4 | 1d fc_short +40.7%, 1wk fc_long +53.9%, UBS Buy reiterated; low in 1d range (18%) so entry is fair. |
| 8 | ZTS | BUY PULLBACK | 7.3 | Weekly fc_long +118% is monster, 67% ROE, but pos_in_range 100% across three TFs — do not chase. |
| 9 | INTU | BUY PULLBACK | 7.2 | 1wk fc_long +86.6% and 1d +83.97%, but 1h/4h forecasts negative — needs a base. |
| 10 | EQX | BUY PULLBACK | 7.0 | 1h/4h fc +54–58% and low pos_in_range (0–27%), but ORLA merger just closed — let integration digest. |
| 11 | NRDS | BUY NOW | 6.8 | PEG 0.26, fwdPe 7.85, all TFs green with 1wk short pos_in_range 37% — clean small-cap setup. |
| 12 | FUTU | WAIT | 6.5 | Strong 1h/4h/1d forecasts +33–60%, but DOJ probe and HK SFC asset freeze headlines are unresolved landmines. |
| 13 | AGI | BUY PULLBACK | 6.3 | Great fundamentals (fwdPe 9.05, PEG 0.24) but 1wk fc all deeply negative (-24/-42/-52%) — weekly trend broken. |
| 14 | ORLA | WAIT | 6.2 | Just consummated EQX merger; weekly forecast -15/-30/-53% argues for post-deal reset before entry. |
| 15 | FINV | BUY NOW | 6.0 | Cheapest name (fwdPe 3.4, pe 4.11), near_term 1.0, 1wk fc_long +18.34% — micro-cap size risk. |
| 16 | LOPE | BUY NOW | 5.8 | Strong Q2 beat, recom 1.0, ROE 30.98%; forecast magnitudes are modest (1d fc_mid +20%). |
| 17 | GAU | BUY PULLBACK | 5.7 | PEG 0.03, 4h fc_mid +51.8%, but 1wk fc_long -40% and pos_in_range near 0 signals capitulation risk. |
| 18 | HDB | WAIT | 5.5 | Reasonable valuation but no forecast data shown and RBI/deposit backdrop mixed — no edge today. |
| 19 | TMUS | WAIT | 5.3 | $300B Deutsche Telekom merger talks reportedly stalled — headline risk overrides moderate forecasts. |
| 20 | DCBO | WAIT | 5.0 | 1h/4h forecasts negative; substantial issuer bid in progress adds noise despite strong 1wk fc_long +66.6%. |
| 21 | KKR | WAIT | 4.8 | All TFs pos_in_range 100% AND short/mid forecasts negative — pure top-of-range chase. |
| 22 | HNRG | WAIT | 4.5 | 1wk fc_long -48.5% overwhelms the near-term bounce setup. |
| 23 | BIRK | WAIT | 4.3 | Short-term forecasts weak (+0.6/5.5/14%), 20.24% short float, mid-TF pos_in_range near 0. |
| 24 | HLLY | WAIT | 4.0 | 1h fc negative (-15 to -17%), conflicting 4h/1d signals — muddled setup. |
| 25 | MLCO | WAIT | 4.0 | Cheap (fwdPe 8.33) but limited forecast tape shown and Macau demand uncertain. |
| 26 | CNM | WAIT | 3.8 | Sales +0.46% YoY, forecast data limited in snapshot, StockStory flagging headwinds. |
| 27 | CELH | WAIT | 3.8 | PE 69.73, short float 21.31%, analysts expecting earnings decline into Aug 6 print — event risk. |
| 28 | ITRG | AVOID | 3.5 | Zacks 'Strong Sell' add on 7/30, 1wk fc all negative, PE 58.71 despite screen pass. |
| 29 | WMG | AVOID | 3.0 | CFO/COO stepped down effective immediately 7/31 — governance landmine outweighs decent forecasts. |
| 30 | FRSH | AVOID | 2.0 | bullish_prob 0.0, all forecast horizons negative across every TF — broken setup. |
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