Today’s AI Top Pick: RDDT

8/3/2026 · Model Aligned screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Model AlignedRDDTBUY NOW8.6 / 108/3/2026

RDDT is the cleanest confluence of every factor we care about: bullish_prob = 1.0, near_term_bullish = 0.6, and multi-timeframe forecasts that pile up as the horizon extends. The 1h forecast is mid +19.55% / long +30.41%, the 4h is mid +25.54% / long +35.89%, and the 1d is mid +35.17% / long +25.53%. Only the 1wk long (−12.3%) softens the picture, and even that comes with a positive 1wk short (+6.24%) — this is a name that Kronos wants to see rally hard first and then digest. Critically, we're not chasing. Position in 21-bar range is 15.46% (1h), 10.17% (4h), and 3.69% (1d), with drawdowns of −21% to −29.7% from the 21-bar high. That's washed-out tape, not a breakout — the exact spot where forecasted mean reversion has room to work. RSI 30.45 confirms oversold. Contrast this with STRL (1h pos 90.8%, chasing), TXT (100%), or CMCSA (95%) where you'd be buying strength. Fundamentals are the tiebreaker in RDDT's favor. Fundamental_score 8, PEG 0.41, fwdPE 20.25 against salesYoY +66.59%, profitMargin 31.35%, ROE 30.71%, debtEq 0.01, analyst recom 1.75 and targetUpsidePct 56.9%. This is a high-growth, high-margin, cash-clean franchise on sale. And the most recent headline (Aug 2) — 'user base grows to more than 130 million daily actives' — is a clean positive catalyst, not the guidance-cut landmines torpedoing PSN, LII, HGV and DY. Short float 12.39% adds squeeze fuel on any surprise. Why today, not later: price is at the bottom of every intraday range with a bullish 1h/4h/1d forecast stack, the fundamentals are best-in-class in the pool, and the freshest catalyst (DAU growth) is confirmed positive. Waiting risks the fc_short +5–16% moves resolving before you're positioned. Size it appropriately given the weak 1wk long forecast — this is a swing, not a hold-forever.

Entry zone
$140.00–$145.50 (current 142.98; scale in with half on touch of 143, add on any dip to 140)
Stop loss
$132.50 (below the 1d 21-bar low; ~7.3% risk)
First target
$165 (roughly the fc_short/mid blend on 1d, +15%)
Longer target
$185–$195 (fc_long alignment 1h/4h ~+30–36%, aligns with analyst target upside)
Risks
  • Weekly fc_long is −12.3% — the long-horizon signal is not confirming, so this must be treated as a 2–6 week swing, not a buy-and-hold
  • Short float 12.39% cuts both ways: fuel on a rip, but a persistent overhang if DAU monetization stalls
  • Down 38.8% YTD and 29.66% off the 1d 21-bar high — trend structure is still broken; a break of $132 invalidates the setup
  • Ad-market sensitivity: any macro softening (see broader crypto/liquidity news backdrop) hits internet-media multiples first
  • fwdPE 20.25 is 'reasonable for growth' but still leaves room for multiple compression if salesYoY 66.59% decelerates
Honorable mentions
METAbullish_prob 1.0, near_term 1.0, all four TFs aligned bullish (1d fc mid +17.71%), position 17.56% on daily (not chasing), −17% drawdown, fundamental_score 8, PEG 0.85, recom 1.28, and Aug 3 positive Zuckerberg/cloud catalysts. Slightly less forecast magnitude than RDDT and larger cap so smaller expected move.
COINMassive forecast magnitudes (1d fc mid +55.21%, long +52.16%; 4h long +30.84%), bullish_prob 1.0, position 0% on 1d/1wk (as washed out as it gets). Held back to #3 by negative fundamentals (profitMargin −20.6%, ROE −7.85%, salesYoY −43.42%, fundamental_score −1) and mixed crypto news (Coinbase premium negative streak).
Full ranking (23)
#SymbolVerdictScoreRead
1RDDTBUY NOW8.6Bullish_prob 1.0, deeply oversold (pos 3.69% on 1d), fc_mid +35% on 1d, PEG 0.41, and a fresh DAU-growth headline — best risk/reward in the pool.
2METABUY NOW7.8Full multi-TF alignment, fundamental_score 8, fresh positive Zuckerberg catalysts, not chasing at pos 17.56% on 1d.
3COINBUY NOW7.0Biggest forecast magnitude in the pool (1d fc_mid +55%), pos 0% on 1d/1wk — but weak fundamentals cap conviction.
4RMBSBUY PULLBACK6.3Bullish_prob 0.8, 1h/4h forecasts strong (+20–30% long) after -19.8% post-earnings washout, but 1wk fc_long −41.77% is a red flag.
5XLM-USDBUY NOW6.0Bullish_prob 1.0, 4h fc_long +22.23%, positive tokenized-assets narrative; crypto beta risk.
6CMCSAWAIT5.6Bullish_prob 1.0 and clean fundamentals (PE 7.76), but pos 91–95% on 1h/4h means you'd be chasing the top of range.
7TXTWAIT5.4Bullish_prob 1.0 and $300M Navy contract catalyst, but pos 100% on 1h and weak fc magnitudes (long +5% on 1h, negative on 1d/1wk).
8DECKBUY PULLBACK5.3Bullish_prob 0.8, pos 11% on 1d, fwdPE 11.59 with ROE 42.56% — solid, just modest forecast magnitude (fc_long +11% on 1d).
9ONONBUY PULLBACK5.1Bullish_prob 1.0, positive Peter Lynch/ten-bagger media coverage, but near_term only 0.4 and 1h fc mid essentially flat.
10SREWAIT4.9Bullish_prob 1.0 but modest forecasts (fc_mid 3–4%) and 1wk fc_long −19.18%; defensive but limited upside.
11HWKNBUY PULLBACK4.7Bullish_prob 1.0 and 1d fc_mid +18.99%, but Q1 earnings miss and price-target cut cap enthusiasm.
12CMSWAIT4.5Bullish_prob 1.0 with pos ~0% (oversold), but forecast magnitudes tiny (fc_mid ~4%) and 1wk long −16.62%.
13DOVWAIT4.3Bullish_prob 0.8 but pos 96% on 1h (chasing) and negative fc on 1d/1wk (long −19%).
14BKEWAIT4.2Bullish_prob 1.0 with reasonable 1d fc +14.32%, but analyst recom 3.0 and 1wk fc_long −16.45% offset the setup.
15GMEAVOID4.0Forecasts positive across TFs but targetUpsidePct −37.8%, recom 3.0, and no positive catalyst — meme risk without support.
16AUAVOID3.7Great fundamentals (PEG 0.34, ROE 46.5%) undercut by earnings miss and catastrophic 1wk fc_long −84.23%.
17PPGWAIT3.6Bullish_prob only 0.4 and two analyst PT cuts on 7/30; forecasts anemic.
18HGVAVOID3.2Bullish_prob 0, Q2 miss, PT cut to $74, debtEq 7.12 — broken setup.
19MAAAVOID3.0Bullish_prob 0.2, near_term 0, fc barely positive, PT cut to $140 — no reason to own here.
20DYAVOID2.6Bullish_prob 0, 1d fc_mid −17.8%, 1wk long −68% — screen match is misleading; forecast is bearish.
21STRLAVOID2.5Bullish_prob 0, weekly fc_long −71.73% despite YTD +94.88% — this is a top not a buy.
22LIIAVOID2.3Bullish_prob 1.0 forecast is undercut by fresh 2026 EPS guidance cut and Goldman PT cut to $547 — pass.
23PSNAVOID2.0Shareholder investigations and 2026 guidance cut with net loss — landmine regardless of the forecast.

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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.