Today’s AI Top Pick: PODD
8/5/2026 · Turnaround screen · a free sample of K3vl4r’s AI-curated picks.
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PODD (Insulet) is the cleanest turnaround setup on this list: strong fundamentals meeting a deeply oversold tape with unanimous multi-timeframe forecast agreement and no negative news catalysts. Fundamentally it's a fundamental_score 8 name with fwdPe 20.71, PEG 0.78, ROE 23%, profitMargin 10.44%, salesYoY +31.93%, recom 1.54, and a 39.3% analyst upside target — this is a quality compounder that got flushed (-42% 1Y, -41% YTD), not a broken business. The tape confirms today is the entry, not the top. Position in 21-bar range is 0% on both 4h and 1d and 3.72% on the weekly, with drawdown from 21-bar high of -12.79% (4h), -13.26% (1d), and -34.83% (1wk). Yet Kronos forecasts point sharply higher across every timeframe: 4h fc_short +54.36% / mid +71.89% / long +79.54%; 1d +22.15% / +53.83% / +74.88%; 1wk +15.06% / +43.16% / +62.61%. Bullish_prob 1.0 and near_term_bullish 0.8. This is the opposite of a chase — you're buying at the low of the range with the model projecting a sharp mean-reversion. Compare to the alternatives: ALNY has similar magnitude forecasts but Truist and HC Wainwright both cut price targets on 8/4 and its 1wk forecast is negative (-2.71%). FUTU is at 100% of range and its 1wk long forecast is -19.65%, plus a DOJ probe overhangs the name. CELH and Z are already near the top of their 1h/1d ranges (99-100%) — pullback candidates, not immediate buys. WING has the deepest oversold setup but weaker fundamental_score (6) and profitability. TMDX already ran 171%. BXMT has RSI 20 but a landmine headline about a $1B office loan strain. News check for PODD is clean: 'Quality Affordable Growth Stock With Strong Earnings Momentum' (7/16), Q2 earnings preview (7/22) as a positive catalyst. No dilution, no legal issues, no guidance cut. This is why TODAY is the entry — the setup is at the low of the range with a forward catalyst (Q2 earnings) and no offsetting negatives. Waiting risks missing the reversal that the multi-tf model is projecting.

- Weekly drawdown of -34.83% means the stock is in a confirmed downtrend; if $132 breaks, next support is materially lower
- Insulet Q2 2026 earnings pending (per 7/22 preview) — a miss or guidance cut could extend the downtrend given -42% 1Y underperformance
- Healthcare/med-device sector has been weak — sector rotation risk if healthcare stays out of favor
- fwdPe 20.71 is not cheap for a company that just had a -42% year; multiple compression risk if growth decelerates from +31.93% salesYoY
- Debt/Equity 0.73 is manageable but elevated; a rate spike or credit tightening pressures the multiple
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | PODD | BUY NOW | 9.0 | At range low with unanimous 4h/1d/1wk forecasts +60–80%, fund_score 8, clean news — textbook turnaround entry. |
| 2 | ALNY | BUY NOW | 8.1 | PEG 0.29, ROE 100%, RSI 31 oversold with +58–75% forecasts, but PT cuts on 8/4 knock it below PODD. |
| 3 | WING | BUY NOW | 7.8 | RSI 30, 0% range position on all tfs, 1d fc_long +85%; deepest reversion candidate. |
| 4 | CELH | BUY PULLBACK | 7.5 | Strong 1d +51% mid forecast, salesYoY +123%, but at 99% of 1h range — wait for pullback to $27. |
| 5 | FUTU | BUY PULLBACK | 7.2 | Cheap (fwdPe 9.38) with 4h +55% forecast, but at 100% of range and DOJ probe headline lingers. |
| 6 | Z | BUY PULLBACK | 7.0 | 1d fc_long +73%, 1wk +79%, but at 99% of range and layoff news; wait for a dip. |
| 7 | ORCL | BUY PULLBACK | 6.9 | fwdPe 13.34, ROE 54%, but 1wk forecasts negative and near range top; wait for consolidation. |
| 8 | CALX | BUY NOW | 6.8 | recom 1.22, fund_score 7.25, 4h fc_long +45%, but only 2.5B mkt cap and 78% range pos. |
| 9 | MLCO | BUY NOW | 6.7 | PEG 0.35, fwdPe 8.11, 1wk fc_long +41%; solid multi-tf agreement, no bad news. |
| 10 | PFSI | BUY NOW | 6.5 | fwdPe 7.05, 4h fc_long +50%, near_term_bullish 1.0, but PT cuts on 8/4 cap upside. |
| 11 | MIR | BUY NOW | 6.4 | 4h fc_long +42%, near_term 1.0, but 1wk long forecast -14.25% and PT cuts on 7/30. |
| 12 | SPOT | BUY NOW | 6.3 | 300M subs milestone, ROE 39.6%, but 1wk fc_long -18.6% is a red flag. |
| 13 | ONON | BUY PULLBACK | 6.2 | salesYoY +36%, positive Motley Fool piece; earnings next week is binary risk. |
| 14 | BIRK | BUY NOW | 6.1 | RSI 33 oversold, JPM raised PT to $58, 1d fc_long +11%; solid fundamentals. |
| 15 | NRG | BUY NOW | 6.0 | RSI 36, 1d fc_short +16.76%, but 1wk long forecast -35% is alarming. |
| 16 | VST | WAIT | 5.9 | 1d fc_long +13.7% but 1wk fc_long -34.41%; conflicted multi-tf tape. |
| 17 | TMUS | WAIT | 5.7 | SpaceX mobile threat hit stock 8/4; multi-tf positive but sentiment overhang. |
| 18 | TMDX | BUY PULLBACK | 5.6 | Already ran 171% per news; forecasts still bullish but chase risk elevated. |
| 19 | DKNG | BUY NOW | 5.5 | 1wk fc_long +52%, Burry doubling down, but PE 392 and Kalshi lawsuit hangs over sector. |
| 20 | KVYO | BUY PULLBACK | 5.4 | recom 1.17, Citi raised PT to $34, but no profitability yet and short float 22%. |
| 21 | SE | AVOID | 5.3 | At 100% of range on all tfs, 4h fc_short -15.7%, bullish_prob 0.4; extended. |
| 22 | PSN | WAIT | 5.2 | Multiple PT cuts on 8/3–8/4, fund_score 4.5, weak salesYoY -5.84%. |
| 23 | SRAD | AVOID | 5.0 | Down 16.7% on Q2 loss + 2026 outlook cut + PT cuts; broken setup regardless of screen. |
| 24 | NOW | WAIT | 4.9 | At 100% of range on 3 tfs, 4h fc_short -17%, near_term 0.2; extended. |
| 25 | MNDY | WAIT | 4.6 | At 100% of range on all tfs, near_term_bullish 0.0, 1h fc_long -17.73%. |
| 26 | BXMT | AVOID | 4.5 | RSI 20 oversold but $1B office loan strain headline is the reason — landmine. |
| 27 | CAI | WAIT | 4.4 | Fund_score 3.75, profitMargin -45%; screen pass but no earnings quality yet. |
| 28 | ARX | AVOID | 4.2 | ROE -432%, profitMargin -237%; screen artifact, not a real turnaround. |
| 29 | NIQ | WAIT | 4.0 | ROE -62%, no profitability; earnings next week is the tell. |
| 30 | TOST | AVOID | 3.0 | bullish_prob 0, near_term 0, RSI 71, at 100% of range, all forecasts negative — sell setup. |
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