Today’s AI Top Pick: PSN

7/30/2026 · Contrarian 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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Today's pick · ContrarianPSNBUY NOW8.6 / 107/30/2026

Parsons (PSN) is the cleanest contrarian bounce setup on the board because you get true multi-timeframe alignment, a fresh positive catalyst, real fundamentals, and a price parked at the bottom of the range. Every single timeframe forecast is green: 1h fc_mid +42.16% / long +38.10%, 4h +38.99% / +50.19%, 1d +23.64% short / +58.51% mid / +53.26% long, and 1wk +9.4% / +27.65% / +29.35%. That is the rarest configuration in this pool — near-term, swing, and trend horizons all pointing the same direction with bullish_prob = 1.0 and near_term_bullish = 1.0. Crucially, you are NOT chasing. PSN sits at pos_in_21bar_range_pct of 12.25% (1h), 12.14% (4h), 0.41% (1d) and 0% (1wk) with a -34.85% 1d drawdown from the 21-bar high — that is exhausted-seller territory, not a broken uptrend where you'd be buying strength. RSI 28.71 confirms oversold. The -30.3% 14-day drawdown is real capitulation into a name whose fundamentals do not warrant a distressed multiple: PE 27.89, fwdPe 11.09, peg 1.1, recom 1.75 (Buy), targetUpsidePct 60.8%, profitMargin 2.5% (positive), debt/eq 0.63. The news cycle is a tailwind, not a landmine. Q2 2026 earnings (Jul 29–30) were headlined by 'Strong Bookings and Strategic Growth' — the type of print that turns a technical washout into a base. Compare this to the alternatives: REPL just got smashed by FDA staff concerns (-32% single day) — untouchable. LII cut guidance today. EVH was downgraded with a $5 PT. AAON and SPRO have negative 1wk forecasts. TVRD is running an ATM offering (dilution). MNRO's MTF alignment is arguably tighter but the forecast magnitudes are smaller and the fundamentals thinner (profitMargin 0.59%). PSN gives you the best combination of signal + safety + catalyst. Why today, not later: with 1d pos_in_range at 0.41% and 1wk at 0%, waiting for a pullback means waiting for a new 21-bar low, which contradicts the exhausted-selling thesis. The earnings print is the reset event; the forecast turn is happening on the highest-conviction setup in the pool. Buy the flush, not the confirmation candle.

Entry zone
$40.00 – $41.00 (scale in near current $40.41; add on any wick to $39)
Stop loss
$37.20 (below the recent 21-bar low; ~8% risk)
First target
$48 – $50 (retest of pre-drawdown supply, ~20% upside, aligns with 1d fc_short +23.64%)
Longer target
$60 – $64 (aligned with 1d fc_mid +58.51% and analyst targetUpsidePct 60.8%)
Risks
  • Government/defense contract concentration — a lost contract or budget headline could re-open the -34.85% 1d drawdown.
  • Sector rerating risk: even after earnings, the stock is at 0% of the 1wk range — no confirmation of trend reversal yet, could grind lower before bouncing.
  • Guidance risk from the Q2 call (positive tone but no details cited in headlines); if the sell-side digests it negatively over the coming week, the -46.58% YoY drawdown extends.
  • Broader industrials/defense pullback — comps like LII cut guidance today, showing the group has landmines.
  • 1h forecast is only +1.73% short-term, so the very first days could be choppy before the mid/long forecasts (+42–58%) play out.
Honorable mentions
MNROThe tightest MTF alignment on the board — all 4 timeframes bullish with pos_in_range = 0% across the board, 1d fc +10.68/+30.66/+37.95, near_term 1.0. Q1 print just landed. Held back by thin fundamentals (profitMargin 0.59%, PE 65.98) and smaller forecast magnitudes than PSN.
TEMAll four timeframes green (1d +23.9/+67.67/+48.6, 1wk +14.32/+77.71/+63.91), Cathie Wood adding, positive Q2 earnings setup. Lower ranking because pos_in_1h_range is 37% (less oversold on short TF) and fundamentals are negative (profitMargin -22.2%, no PE).
Full ranking (30)
#SymbolVerdictScoreRead
1PSNBUY NOW8.6All four timeframes point up, at 0% of 1wk range, strong Q2 print, real fundamentals — cleanest contrarian bounce in the pool.
2MNROBUY NOW7.8Every timeframe bullish with pos_in_range at 0% across the board — textbook exhausted-selling setup.
3TEMBUY NOW7.2Uniform MTF bullish, +67% 1d mid forecast, Cathie Wood buying into Q2 — momentum + oversold combo.
4AAONBUY PULLBACK6.8Best fundamentals (score 7.25), oversold RSI 22, but 1d/1wk forecasts turn negative — wait for base.
5ADTNBUY PULLBACK6.5Deep drawdown, huge 1h/4h bounce forecasts, but analyst PT cuts and weak 1wk short forecast.
6SPROBUY PULLBACK6.3Highest fund_score (8) with Innovent licensing catalyst, but already at top of 1h range and 1wk forecast negative.
7CRMLBUY PULLBACK5.9Massive fc magnitudes across all TFs and rare-earth narrative, but valuation concerns flagged by analysts.
8ARRYBUY PULLBACK5.7All 4 TFs bullish with big magnitudes, at low of range, but earnings decline expected next week.
9RUNBUY PULLBACK5.4Solar bounce setup, but 1d fc_short slightly negative and earnings decline expected.
10NAUTBUY PULLBACK5.2Massive 1h/4h fc (+146/+119%), deep drawdown, but PS 695 and profitMargin -29,747% are terrifying.
11LNAIWAIT4.9Huge fc magnitudes (1d +207/+380) but micro-cap with -612,568% profit margin — pure speculation.
12INVWAIT4.71h fc +107%, big magnitudes, targetUpside 414%, but profitMargin -5,226% and no near-term earnings visibility.
13GXAIWAIT4.5All TFs green with post-divestiture pivot story, but micro-cap and slid Tuesday on unclear catalyst.
14TSLAWAIT4.4Strong 1h/4h forecasts and Cathie adding, but 1wk fc negative and PE 277 offers no valuation cushion.
15CNCKWAIT4.21d/1wk fc massive (+89/+426%), crypto beta, but 1h fc negative and fwdPe 1,414 — pure narrative trade.
16LODEWAIT4.1Solid 1h/4h/1d forecasts but 1wk fc -13.62 and profitMargin -6,012% — fundamentally distressed.
17AIFAWAIT3.9Massive 1wk fc (+435/+478%) but only 2 TFs available, micro-cap, profitMargin -457%.
18TVRDAVOID3.6Active ATM offering = ongoing dilution overhang, defeats bounce thesis.
19ACDCWAIT3.51h fc +109% but 1wk fc -23.62 and Q1 already weak — margin compression persisting.
20LUCYWAIT3.4Recent warrant exercise = dilution just happened, only 3 TFs, tiny float.
21LBRTWAIT3.3near_term_bullish 0.0, 1wk fc all negative — bounce not confirmed by near-term signals.
22DXYZWAIT3.1Anthropic pre-IPO narrative interesting but salesYoY -270% and profitMargin -1,562% — trust NAV opacity.
23AKTXAVOID2.81h fc -26%, 1wk fc -40% — forecasts do NOT confirm bounce despite oversold reading.
24PMECAVOID2.6Missing tf data for full evaluation, micro-cap with -71% YoY performance.
25BIRDAVOID2.4Micro-cap with -77% YoY, only M&A rumor keeping thesis alive.
26RPDAVOID2.3All TF forecasts negative or near-zero, targetUpsidePct -14.3% — analysts see downside.
27AIIOAVOID2.01h fc -97%, profitMargin -17,614% — forecast collapse contradicts bounce lens.
28EVHAVOID1.9Fresh downgrade from Citi and PT cut to $5 by TD Cowen — thesis actively deteriorating.
29LIIAVOID1.7Guidance cut TODAY, residential weakness — this is a broken trend, not exhausted selling.
30REPLAVOID1.2FDA staff raised efficacy doubts on lead cancer drug ahead of AdCom — binary event risk skewed hard negative.

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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.