Today’s AI Top Pick: PSN
9/10/2026 · Bullish Consensus Reliable Bullish screen · a free sample of K3vl4r’s AI-curated picks.
AI-ranked from a screened shortlist, with entry strategy, targets, and risks.
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Parsons (PSN) is the cleanest multi-timeframe setup in the pool right now. It's the only candidate with FOUR timeframes reporting, and all four sit in the LOWER half of their 21-bar ranges: 1h pos 17.24%, 4h pos 30.64%, 1d pos 31.46%, and 1wk pos 16.05%. That means you're not chasing — you're buying into a coiled reset, with drawdowns of -3.24% / -5.64% / -5.44% / -21.15% across the stack. Every single mid- and long-horizon forecast is positive: 1h (+0.39%/+5.06%), 4h (+19.91%/+17.88%), 1d (+33.33%/+40.45%), and 1wk (+3.55%/+19.13%). Kronos bullish_prob = 1.0 and near_term_bullish = 1.0 — the highest conviction combo in the entire candidate set. Fundamentally it clears the screen: analyst recom 1.60 (buy), target upside +25.5%, fwdPe 13.66 (cheap for a defense/infrastructure tech services name), debt/equity 0.63, and instOwn 103.69%. The weak spots — trailing PE 32.02, PEG 1.99, salesYoY -5.84%, operMargin 5.4% — are the reason the stock is down -25.10% YTD and -37.87% on the year, which is precisely why the setup exists. This is a reset, not a broken tape. The news backdrop is a genuine tailwind, not a landmine. Parsons presented at the Jefferies Global Industrials Conference on 9/9, MarketBeat published a 'pullback may give defense and infrastructure investors a second look' piece on 9/7, and Zacks flagged it as a value play vs. NTTYY. No dilution, no guidance cut, no legal/regulatory shoe to drop. Compared to DOX and FUTU (both at 4h pos >91% — extended), NICE (strong weekly forecast but 4h long turns negative -4.03%), and ADMA (huge magnitudes but 1wk forecast almost dead at +0.97/+4.84/+5.29), PSN is the only name that combines 'not extended' + 'all timeframes agree' + 'positive catalyst news.' Today is the entry because the 1h is already turning (short forecast -0.94% is basically flat, then flips positive), the 1d position is only 31% of range with a +33/+40% mid/long forecast, and the drawdown is shallow (-5.44% from the 1d high). Waiting for a deeper pullback risks missing the base breakout, and waiting for confirmation forfeits the low-range entry that makes the risk/reward asymmetric.
- SalesYoY is -5.84% and operMargin only 5.4% — if Q3 print misses, the reset thesis breaks quickly
- Weekly drawdown of -21.15% means there is real overhead supply; a failed rally into $50-52 is the tell
- Government/defense contract lumpiness — headline risk from budget/CR delays could stall any bounce
- PEG 1.99 and trailing PE 32.02 mean valuation is not a floor; a broader tech/defense multiple compression drags PSN with it
- 1h short-horizon forecast is still slightly negative (-0.94%), meaning a shakeout to $45-46 is plausible before liftoff
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | PSN | BUY NOW | 8.6 | Four-timeframe alignment, all in lower half of range, bullish_prob 1.0 and near_term 1.0 — the cleanest setup in the pool. |
| 2 | NICE | BUY NOW | 7.6 | Cheapest fwdPe (7.78) with a monster weekly forecast (+65% long) and mid-range positioning; 4h long turning negative is the only blemish. |
| 3 | ADMA | BUY NOW | 7.4 | Elite fundamentals (peg 0.45, profitMargin 33%) with 1d at 0.54% of range and 4h forecasts of +71/+95/+113%; weekly tape is flat but risk/reward is strong. |
| 4 | ETOR | BUY NOW | 7.0 | 4h pos only 0.19% of range with +25%/+37% mid/long forecasts and fresh KeyBanc Overweight at $45 PT; bullish_prob is null which caps conviction. |
| 5 | DOX | BUY PULLBACK | 6.8 | Bullish_prob 1.0, cheap (fwdPe 7.46, peg 0.78), weekly forecast +32% long — but 4h pos_in_range 96% means chasing here; wait for $58. |
| 6 | FUTU | BUY PULLBACK | 6.5 | Best profitability in the group (profitMargin 43%, roe 31%) but 4h at 91.73% of range and weekly forecast is -22% mid — wait for a reset. |
| 7 | TRI | BUY PULLBACK | 6.3 | 1d forecast +22/+27% and weekly long +26%, but 4h mid/long flip negative (-17/-18%) — near-term is choppy, add on dips to $94. |
| 8 | PEGA | BUY PULLBACK | 6.0 | Bullish_prob 1.0 with huge 4h forecasts (+39/+42/+78%), but pos_in_range 84% on 4h and 78% on 1wk means waiting for a $33 pullback pays. |
| 9 | FIGR | WAIT | 5.6 | BofA upgrade is a positive catalyst but 4h/1d already ran +23%, forecasts turn deeply negative on 1d mid/long (-13.5/-18.7%), and no Kronos probability. |
| 10 | ALNY | WAIT | 5.5 | Great fundamentals (roe 100.7%, salesYoY +95%) and Jefferies positive note, but weekly forecast is negative (-3.85/-9.44%) and 4h drawdown -22% is a warning. |
| 11 | BR | BUY PULLBACK | 5.3 | 4h at 98% of range (extended) with strong forecasts across TFs; wait for pullback toward $158 before entry. |
| 12 | DSGX | WAIT | 5.0 | 1d/4h short-horizon forecasts flip negative; mid/long positive but magnitudes modest (+11% wkly long) — better setups elsewhere. |
| 13 | WAY | WAIT | 4.7 | Bullish_prob is 0 and weekly long forecast is -6.85%; RBC 'lack of KPIs disappoints' headline is a mild negative. |
| 14 | SE | WAIT | 4.5 | 1d forecast weak (-1/-7/+9%) with pos_in_range 0% on 1d; large cap but bullish_prob only 0.6 and near_term 0.2. |
| 15 | LRN | WAIT | 4.0 | 4h forecast entirely negative and weekly -2/-8/-5% — screen passes but tape actively disagrees; the +25.84% YTD outperformance may be topping. |
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