Today’s AI Top Pick: RDDT

9/11/2026 · Lean Rider screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Lean RiderRDDTBUY NOW7.8 / 109/11/2026

RDDT is the clearest multi-timeframe green-light in this pool. Bullish probability is a full 1.0 with near_term_bullish 0.6, and the forecast tape confirms across horizons that actually matter for a swing: 4h fc_short/mid/long +0.80%/+9.08%/+19.17% and 1d fc_short/mid/long +2.55%/+16.95%/+11.33%. That is real magnitude AND agreement — most other names in this pool (MRVL, ASML, TSM, ALAB, AMD) show ugly negative daily forecasts of -30% to -60% even while their weekly probs are decent, which is exactly the deteriorating tape the brief warns about. The entry isn't perfect (1h pos_in_21bar_range is 97.74% and 4h is 87.69%, so it's extended intraday), but zoom out and it's actually still in the lower half of the daily range (pos 35.33%, dd_from_21bar_high -12.15%) and the weekly is deeply washed out (pos 28.88%, dd -19.90%, perfYtd -32.42%, perfYear -40.03%). That combination — coiled base on the higher timeframes with intraday momentum turning up — is the setup you want. Fundamentals back it: salesYoY 66.59%, profitMargin 31.35%, operMargin 28.25%, grossMargin 90.85%, ROE 30.71%, debtEq 0.01, PEG 0.43, fwdPe 21.99 (reasonable for that growth), targetUpsidePct +38.7%. News is a positive catalyst tailwind — Piper Sandler flagged a 'powerful growth signal' and price action is confirming ("Reddit Stock Trades Up" 9/11). Contrast with the runner-up VST, which just priced $1.5B junior subordinated notes on 9/10 — a real dilution/leverage overhang on a name already at debtEq 3.63 — and IESC, whose daily/weekly forecasts are ugly (-30%/-77%) despite a great screen score. TODAY is the right entry because the near-term forecast is already turning up and waiting for a deep pullback risks missing the daily fc_mid +16.95% move.

Entry zone
Scale in $152–$156.50 (current 156.46). Add on any dip to $150 which is the 4h base pivot.
Stop loss
Hard stop $141.50 (below the -12.15% daily drawdown low). Roughly 9–10% risk.
First target
$172 (aligns with daily fc_mid +16.95% region and prior supply)
Longer target
$185–$190 (daily fc_mid full extension and pre-selloff supply; ~20% upside)
Risks
  • Weekly forecast is negative (fc_mid -26.81%, fc_long -39.86%) — this is a tactical swing, not a hold-forever, and the long weekly tape is a warning if the trade doesn't work quickly.
  • shortFloat 14.33% — squeeze potential cuts both ways; sentiment reversal can be violent.
  • 1h pos_in_range 97.74% means chasing here risks a 3–5% intraday pullback before the real move.
  • perfYtd -32.42% / perfYear -40.03% — this is a broken-trend name being bought as a mean-revert; failure of the daily base means quick retest of lows.
  • PS 10.76 and fwdPe 21.99 are reasonable but not cheap — any guidance wobble on the next print gets punished hard.
Honorable mentions
VSTBest fundamentals-plus-forecast combo on paper (peg 0.19, fwdPe 14.39, roe 43, bullish_prob 1, daily fc_mid +10.91%), but the 9/10 $1.5B junior subordinated notes offering is a fresh dilution/leverage headline on a name already at debtEq 3.63 — knocks it out of #1.
CHRWBullish_prob 0.8 and 4h fc_mid/long +11.37%/+12.70% is real, but pos_in_21bar_range is 100% on 1h/4h/1d — this is a pure chase entry with no pullback margin. Better as BUY_PULLBACK.
Full ranking (15)
#SymbolVerdictScoreRead
1RDDTBUY NOW7.8Multi-TF alignment (4h/1d forecasts +9–17%), bullish_prob 1.0, washed-out weekly base, positive Piper catalyst.
2VSTBUY PULLBACK7.0Elite fundamentals and daily fc_mid +10.91%, but $1.5B junior sub notes on 9/10 is a real overhang given debtEq 3.63.
3CHRWBUY PULLBACK5.8Bullish_prob 0.8 with 4h fc_mid +11.37%, but pinned at 100% of range on three timeframes — wait for a dip to $146.
4COHRWAIT5.2Sep 21 PhotonLink launch is a real catalyst but daily fc_mid -39.88% and weekly -66.89% are hard to ignore.
5CLSWAIT4.8Near_term_bullish 0.6 but daily/weekly forecasts collapse (-16.64%/-53.73%); wait for a base.
6ADEAWAIT4.6Analyst recom 1.25 and 63% target upside, but marketCap $2.9B is smallest in pool and peg 5.22 is stretched.
7KNXWAIT4.4Bernstein Outperform initiation at $91 is nice, but pe 262 / roe 0.61 and negative daily fc make this a paper-only pass.
8ASMLWAIT4.3Fundamental fortress (operMargin 35, roe 54), but daily fc_mid -33.52% and weekly -53.50% say the tape has topped near-term.
9TSMWAIT4.2Best-in-class margins (profitMargin 50%), but daily fc_mid -28.49% and weekly -55.68% — screen says buy, forecast says wait.
10IESCWAIT4.0Top screen score but daily fc_mid -30.12% and weekly -54.61%; RSI 46 and dd -18.64% suggest a knife still falling.
11ALABAVOID3.6Bullish_prob 0, daily fc_long -47.28%, ps 41, pe 140 — no edge here today.
12MTSIAVOID3.4Weekly fc_long -67.20% and pos_in_range 15% signal ongoing distribution.
13MRVLAVOID3.2Daily fc_short -39.16%, weekly fc_long -72.46% after perfYear +238% — classic mean-revert-down setup.
14AMDAVOID3.0Daily fc_short -44.23% and weekly -65.61% after perfYear +215%; Cathie Wood selling headline confirms distribution.
15BWAAVOID2.9Weekly fc_short -34.61% and profit margin 2.89% — no tape, no fundamentals edge.

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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.