Today’s AI Top Pick: PODD

7/23/2026 · Recently Alerted Turnaround screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Recently Alerted TurnaroundPODDBUY NOW8.7 / 107/23/2026

Insulet (PODD) is the cleanest multi-timeframe turnaround setup in the pool. Every timeframe's forecast is pointing up with meaningful magnitude: 4h fc_mid/long +40.36%/+62.44%, 1d fc_short/mid/long +41.5%/+66.03%/+61.04%, and 1wk fc_mid/long +39.48%/+59%. That's rare four-timeframe agreement, and the 1h is also positive (+0.9/+9.05/+10.51) so we're not fighting the tape at the smallest scale. Bullish probability is a full 1.0 and near_term_bullish is 1.0. Critically, we are NOT chasing. Position in 21-bar range is 13.88% on 1h, 35.77% on 4h, 46.62% on 1d, and only 13.64% on weekly — the stock sits deep in its weekly range with a -33.55% weekly drawdown still on the tape. That's the textbook 'recently alerted turnaround' shape: a battered name where the multi-TF forecast has flipped constructive from a low base. Compare this to FUTU (100% of 4h/1d range, weekly fc negative and DOJ probe headline) or SPOT (weekly fc -19 to -24) where the tape has already run. Fundamentals confirm: fwdPe 19.73, peg 0.74, roe 23%, epsNextY +24.34%, salesYoY +31.93%, profitMargin 10.44%, recom 1.48, targetUpsidePct 47.8%, instOwn 104.9%. Perf 1Y -44.35% is exactly the setback the screen is designed to catch. News is supportive without being a landmine — Q2 2026 earnings preview and a 'Quality Affordable Growth Stock With Strong Earnings Momentum' write-up. No dilution, no legal overhang, no short-seller report. TODAY is the entry rather than waiting because: (1) the stock is in the lower half of the 1d range with room to run before hitting resistance, (2) the weekly drawdown gives an asymmetric setup — downside to prior lows is limited relative to the +40-60% mid-horizon forecast, and (3) Q2 earnings are the near-term catalyst that will either accelerate or invalidate the thesis. Waiting for a 'better' pullback risks missing the earnings gap.

PODD forecast chart
Entry zone
$155-$160 (current $157.50); scale in with half now and half on any dip to $152
Stop loss
$144 (below weekly dd zone; ~8.5% risk)
First target
$180 (+14%, near 4h fc_mid magnitude)
Longer target
$220-$235 (+40-49%, aligning with 1d/wk fc_mid/long)
Risks
  • Q2 2026 earnings (imminent per 7/22 preview) is a binary catalyst — miss/soft guide would invalidate the setup fast
  • Weekly drawdown of -33.55% shows real damage; a broken healthcare tape could retest lows near $140
  • Short float 7.04% is manageable but a disappointing print could trigger stops
  • PE 36.99 still not cheap on trailing basis; multiple compression risk if growth decelerates below the +24% EPS forecast
  • Instl ownership >100% (crowded) means fund selling on any hiccup can be violent
Honorable mentions
DCBOCleanest fundamentals in pool (fwdPe 10.09, peg 0.49, roe 132.85) with a $70M substantial issuer bid announced 7/17 as a hard catalyst; all TFs positive with weekly fc_long +68.44%. Only knock: near_term_bullish 0.6 and pos 74.46% weekly means less discount than PODD.
BILIFull multi-TF alignment (1h through wk all positive), 1d fc +42/+45/+40%, position bottom of 1h range (0%), positive Buy reiteration from SeekingAlpha preview, cheap on PS 1.38 and fwdPe 13.43. China ADR risk keeps it at #3.
Full ranking (30)
#SymbolVerdictScoreRead
1PODDBUY NOW8.7Four-TF forecast alignment (+40 to +66% on 1d), deep 33% weekly drawdown, pos 13-46% across TFs — cleanest turnaround shape in the book.
2DCBOBUY NOW8.2Best fundamentals (peg 0.49, roe 132.85, fwdPe 10) with a $70M buyback catalyst and weekly fc_long +68%.
3BILIBUY NOW8.0All-TF positive, 1d fc +42/+45/+40%, sitting at 0% of 1h range with fresh Buy reiteration.
4CALXBUY NOW7.61d fc +34/+47/+44% with pos 11.56% and fresh Northland upgrade; deep -29% weekly dd.
5ORCLBUY PULLBACK7.4RSI 32.4, weekly range pos 0.18%, 1d fc +13/+39/+52% but weekly fc negative — great value setup, prefer $120 retest.
6TMDXBUY NOW7.21d fc +54/+60/+58% with roe 45, weekly dd -44.45% — high beta rebound but 23.68% short float is a knife.
7SRADBUY NOW7.04h/1d fc +22-41%, sits at 0% of 4h/1d range, epsNextY +68.91%.
8HSAIBUY PULLBACK6.8Massive 1d/4h forecasts but weekly fc_mid -24.95% and pos 4.33% wk — better after next base.
9MLCOBUY NOW6.7Cheapest name (fwdPe 7.95, peg 0.35), weekly fc +21/+42/+54% and 'Worst is Behind' thesis.
10TIGRBUY NOW6.61d fc +62/+87/+83% with fwdPe 6.41 and epsNextY +64%; small cap but numbers extreme.
11NOWBUY NOW6.41d fc +24/+48% and strong AI partnership headlines but pos 84% on 1h means chasing near-term.
12KKRBUY PULLBACK6.2Fundamentals excellent (peg 0.64, salesYoY 35.8%) but forecasts modest (1d +11/+12) and pos 52-59%.
13ONONBUY PULLBACK6.1Solid fundamentals (peg 0.43) but forecasts muted (+1.55/+14.64/+7.29) — needs pullback.
14CELHBUY PULLBACK6.01d fc +9/+53/+64% but near_term_bullish only 0.2 and 4h short fc negative; wait for 1h to reset.
15STEPBUY NOW5.91d fc +29/+37/+37% and pos 9-34%, but roe -750 and operMargin -46% are red flags.
16PGYWAIT5.7Weekly fc -30 to -48% and 1h/4h short fc deeply negative undercut the epsNextY +40% story.
17MNDYBUY PULLBACK5.6Weekly fc +127/+179% is outlier-flavored; 20% layoffs headline is a wildcard — great story, wait for base.
18CHWYBUY NOW5.51d fc +21/+50/+47% with pos 86% is chasing but 1h dd only -2%; weekly dd -21% gives room.
19GRABBUY PULLBACK5.31d fc +26/+35/+32% and pos 0%, but CEO share-sales headline caps enthusiasm.
20RBBNBUY PULLBACK5.2epsNextY +52% but salesYoY -1.15% deteriorating; forecasts modest.
21WINGWAIT5.0Deep dd -42% YTD and RSI 37 but forecasts weak; wait for earnings.
22FUTUAVOID4.8Weekly fc -21 to -25% and DOJ probe/class action headline — screen-perfect but tape broken.
23SEWAIT4.71h/4h short fc -12 to -19% and pos 73-82% on higher TFs — chasing here.
24HLIWAIT4.6Weekly fc negative across all horizons; earnings decline expected.
25TOSTAVOID4.51h/4h/wk forecasts all negative; only 1d positive — deteriorating trend.
26FRSHAVOID4.3Nearly all forecasts negative across TFs; recom 2.0 weakest in pool.
27SPOTAVOID4.2Weekly fc -19 to -24% and 1h short fc -19% — tape rolling over.
28UBERAVOID4.01h fc -13 to -18% and PEG 3.03 stretched; layoff headline and dip today.
29BESSAVOID3.5Micro-cap $22M with negative margins and no PE — forecast noise, not signal.
30SDAAVOID2.5$80M cap with 438 PE and weekly fc +855-1098% is pure outlier noise.

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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.