Today’s AI Top Pick: QXO

7/14/2026 · Highly Shorted Turnaround Deep Rotation screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Highly Shorted Turnaround Deep RotationQXOBUY NOW9.0 / 107/14/2026

QXO is the cleanest multi-timeframe setup in the pool right now. Every single timeframe — 1h, 4h, 1d, AND 1wk — shows strongly positive forward forecasts: 1h fc_short/mid/long +21.5%/+28.2%/+31.4%, 4h +24.5%/+37.0%/+34.1%, 1d +25.8%/+44.1%/+38.8%, and 1wk +18.1%/+20.2%/+19.7%. That is the 'gold' alignment the framework asks for. Near-term bullish score is 1.0, kronos bullish_prob is 1.0, and the stock is not being chased — position_in_21bar_range is literally 0.83% / 0.0% / 0.0% / 0.0% across all four timeframes, with drawdowns of -7.95%, -22.16%, -22.83% and -44.44%. This is a beaten-down name sitting on the floor of its range with the model calling for a coiled-spring bounce.

QXO forecast chart
Entry zone
$13.70 - $14.15 (buy into current basing at $13.89, add on any dip to $13.50)
Stop loss
$12.75 (below the 21-bar weekly low, ~8.2% risk)
First target
$16.75 (~+20%, aligns with 1h/4h/1d fc_long clusters of +28-38%)
Longer target
$22.00 - $25.00 (Citigroup PT $25, RBC PT $27, ~60-80% upside)
Risks
  • No earnings yet — operMargin -4.03%, profitMargin -7.38%, roe -6.77%. If macro deteriorates, unprofitable roll-ups get repriced harshly.
  • Weekly drawdown of -44.44% and recent_21bar_pct of -42% show the trend has been ugly; RSI 33.5 is oversold but 'oversold can stay oversold' if next earnings disappoint.
  • Short float 24.9% cuts both ways — squeeze fuel, but also smart money betting against the M&A thesis.
  • Market cap $14.4B on 1.68x sales means execution risk is priced in; any integration hiccup on recent roofing acquisitions could break the setup.
  • Fundamental_score is only 4.0 (mid-pack) and score_breakdown expected_return is +31%, respectable but not the highest in the pool — this is a technical/tape trade first, fundamentals second.
Honorable mentions
CELHBest fundamentals in the pool (fund_score 7.5, profitMargin 3.68%, opMargin 19.8%, salesYoY +123%, fwdPe 14.94, recom 1.36) with 1d forecast +39.6%/+58.3%/+57.4% and pos_in_range 34% on 1d and 6.87% on 1wk. Slightly less multi-TF alignment than QXO (1h/4h forecasts are near-zero) but a cleaner balance sheet story.
WINGStrong fundamentals (profitMargin 15.77%, opMargin 28.03%, grossMargin 82.58%) with all 4 timeframes forecasting positive mid/long (1d +55%, 1wk +42% long), recent BTIG Buy reiteration at $305 PT. Slightly higher in 1h range (69%) and richer valuation (fwdPe 27.73) than QXO.
Full ranking (30)
#SymbolVerdictScoreRead
1QXOBUY NOW9.0All 4 timeframes forecast +18-44%, pos_in_range ~0% everywhere, dual analyst buy reiterations this week — cleanest setup in the pool.
2CELHBUY NOW8.0Best fundamentals (fund_score 7.5, opMargin 19.8%, salesYoY +123%) with 1d fc_mid +58% and weekly pos_in_range only 6.87%.
3WINGBUY NOW7.4Profitable growth story (15.77% margin, 82.58% gross) with 1d/1wk forecasts +55%/+42% long and fresh BTIG $305 PT reiteration.
4PSIXBUY PULLBACK7.0Cheapest quality name (pe 7.26, roe 75.67%, profitMargin 14.28%) with 1d fc_mid +121%, but 1wk forecasts are -6.8/-26.6/-32.7% — mixed macro read.
5CWHBUY PULLBACK6.8Massive weekly forecasts (+71%/+187%/+188%) and PEG 0.05, but SeekingAlpha 'Sell' and analyst target cuts create real landmine risk.
6TMDXBUY PULLBACK6.5Solid profitability (27.04% margin, roe 45.22%) with 1d fc_long +62%, but Evercore just cut PT to $90 and 1h/1wk forecasts are negative.
7KVYOBUY PULLBACK6.31d/1wk forecasts +34%/+35% long with recom 1.17 and 'undervalued software' framing; CFO change is neutral, 1h forecasts negative.
8EYEBUY PULLBACK6.0Director just bought 50k shares (~$776k) and recent CEO Q1-selloff pushback, but 1h/1wk forecasts are flat-to-negative.
9PGYWAIT5.7Best fund_score (8.0), PEG 0.20, recom 1.00, but pos_in_range 94.56% on weekly with 1wk fc_long -42.6% — extended and mean-reverting.
10MNDYWAIT5.21d/1wk forecasts +36%/+133% look great but pos_in_range 91%/97% means the move already happened; near_term_bullish 0.
11PDYNBUY PULLBACK5.1Q2 sales +480% YoY and 1d fc_mid +41%, but 1wk fc_long -44% and ps 34.41 flag froth risk.
12CTXRWAIT4.9Weekly fc_long +313% is dramatic but $14.8M market cap, no revenue, and pos_in_range 0% on all TFs — lottery ticket, not investment.
13ASSTWAIT4.7Positive tape with 1d/4h forecasts +19-49% but this is a bitcoin-treasury vehicle now (ps 170.98) — thesis is BTC price, not equity fundamentals.
14TTANWAIT4.5Pos_in_range 97.5% on 1d and 1h/4h forecasts all negative — extended, don't chase despite bullish narrative.
15FLWSWAIT4.31d fc_mid +29.6% and near_term_bullish 1.0, but multiple 'Warning Signs' / 'Twice About' headlines and salesYoY -9.53%.
16MBRXWAIT4.21wk fc_short/mid/long all +75% and positive MIRACLE trial mention, but stock fell 25% on interim data missing significance.
17ASPIWAIT4.1Recent helium deal + Noble Africa merger positive but 1wk fc_long -41% and dilutive $50M private placement in progress.
18UPXIWAIT4.0Enormous weekly forecasts (+220% short, +776% long) but Cantor just cut PT to $1.30 and profitMargin -874%; too speculative.
19SPRYWAIT3.91d/1wk mid forecasts +29%/+45% but CEO just departed July 6 and dropped from Russell defensive indices.
20GTBPWAIT3.8$17M micro-cap with 1d fc_long +52%, but roe -1446% and instOwn 5.88% — no institutional support.
21PROPWAIT3.64h fc_long +94% impressive but debtEq 1222 (!!) and 1wk fc_long -48% — unsustainable capital structure.
22KULRWAIT3.4ATM offering paused through Sept 30 is a positive, but 1d forecasts all negative (-12%) and opMargin -218%.
23SAILWAIT3.3Entro acquisition closed and 1d fc_long +43.5%, but insider selling headline and no kronos probability available.
24VOYGWAIT3.2Astrobotic acquisition + NASA contracts are positive catalysts but 'reasonable on growth, rich on sales' framing and no bullish_prob.
25CRWVWAIT3.01h fc_long +28.9% and Cathie Wood doubling down, but recom 1.90 (weakest in list), debtEq 7.39, and pos_in_range 6% on 1d.
26DFDVAVOID2.7Solana treasury vehicle with 1wk fc_long -60.9%, debtEq 12.54, profitMargin -1136% — Cantor just cut PT.
27PCTAVOID2.5ps 121.97, grossMargin -1125%, profitMargin -2215%, debtEq 99.58 — even bullish coverage can't overcome the balance sheet.
28RDWAVOID2.31d fc_short/mid negative and Motley Fool asks 'Should You Buy After It Just Crashed 61%?' — falling knife.
29MNTNAVOID2.0Only candidate with negative expected_return_pct (-7.25%) and analysts 'split on growth outlook' with fair value cut.
30AIMAVOID1.2$7.4M market cap, profitMargin -14,123%, salesYoY -35.6%, near_term_bullish 0, bullish_prob 0 — broken.

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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.