Today’s AI Top Pick: RH

8/26/2026 · Low Float Highly Shorted Mid Cap screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Low Float Highly Shorted Mid CapRHBUY NOW7.8 / 108/26/2026

RH is the only name in this pool where the fundamental screen, the technical setup, and the forecast tape all align in the same direction. Price is $141.70 with an RSI of 30.6 (oversold), a drawdown of -27.76% from the 21-bar high, and position-in-range of just 1.74% on the 4h and 0.73% on the 1d — this is textbook 'not chasing.' Every other candidate is either sitting at 100% of range (LEU, AMR) or has universally negative forecasts (DAVE, SAH, SEZL). The multi-timeframe forecast is the cleanest in the pool: 4h fc_short +19.53% / mid +24.58% / long +24.91%; 1d fc_short -0.62% / mid +18.51% / long +26.81%; 1wk fc_short +15.04% / mid +68.08% / long +101.19%. That is genuine multi-TF agreement to the upside, with the near-term 1d being roughly flat (mean reversion first, then trend) rather than an extreme single-bar outlier. Kronos bullish_prob 0.8 backs it. Short float is 32.12% into this oversold reading — the highest in the pool — which is the fuel for a squeeze if the tape flips. Fundamentals aren't the strongest on paper (fwdPe 15.13, peg 0.53, profit margin 3.01%, debtEq 70.6), but the screen thesis here is 'high short float mid-cap set up for a squeeze,' not 'compounder.' Analyst target upside is +21.9% and recom 2.57 is neutral — meaning consensus has not yet flipped bullish, which is exactly when squeezes start. News flow is soft ('bigger fall than the market') but contains NO landmine — no guidance cut, no legal action, no dilution, no short-seller hit piece. Compare to DAVE/SEZL where the setup is broken by -35% to -76% weekly forecasts, or AMR where the RSI 83.16 and 100% range position make chasing suicidal. TODAY is the entry because you're buying at 0.73% of the 1d range with an RSI of 30 — waiting for confirmation means giving up 15-20% of the move. The risk/reward is asymmetric: ~7% down to the invalidation vs. 15-25% to the near-term target and 50%+ to the weekly forecast.

Entry zone
$139–$143 (scale in around current $141.70; add on any flush to $135 without loss of $128 structure)
Stop loss
$128 (below the 21-bar low; ~9.7% risk — thesis of oversold-bounce is invalidated if it breaks)
First target
$165 (aligns with 4h fc_short +19.5% and 1d fc_mid +18.5%; also prior supply)
Longer target
$200–$215 (1wk fc_mid +68% would imply ~$238; conservatively take swing profits into $200 handle, which is ~41% upside)
Risks
  • High-ticket furniture retailer with debtEq 70.6 and profitMargin only 3.01% — a consumer slowdown headline could crush the bounce
  • Perf YTD -21.13% and perf 1yr -38.76% means it's in a confirmed downtrend; oversold can stay oversold
  • 1d fc_short is -0.62%, so near-term could still grind lower before the bigger bounce materializes (near_term_bullish only 0.4)
  • Short float 32.12% cuts both ways — if shorts are right on fundamentals, no squeeze materializes and price re-tests lows
  • Low float amplifies gap risk in both directions; a bad guidance print or macro shock can cause -10% overnight moves
Honorable mentions
LEUPositive catalyst (DOE $900m win) and near-term forecasts mixed but not broken; problem is 100% position-in-range across 1h/4h/1d — this is a BUY_PULLBACK not BUY_NOW, and weekly fc_long is -41.4%
AMRInsider buying (Director Courtis $1.1M + $3.2M) is a real positive catalyst, but RSI 83.16, 100% range position, and negative targetUpside -17.1% make this a chase; wait for a pullback to $185
Full ranking (7)
#SymbolVerdictScoreRead
1RHBUY NOW7.8Oversold (RSI 30.6, -27.76% dd) at 0.73% of 1d range with +19.5%/+24.6%/+24.9% 4h forecasts and 32% short float as squeeze fuel.
2LEUBUY PULLBACK5.2Real DOE catalyst but pinned at 100% range across three TFs with 1wk fc_long -41.4%; wait for $175–$180 retest.
3AMRBUY PULLBACK4.0Aggressive insider buying is bullish but RSI 83.16 and targetUpside -17.1% make today a chase; buyable on a pullback to $185.
4SEZLWAIT3.5Elite fundamentals (fscore 8, salesYoY 43%, opMargin 40%) but 4h fc_mid -59.9% and 1d fc_mid -20% say the tape hasn't stopped bleeding.
5DAVEAVOID2.5Fundamentals screen perfect (fscore 8, ROE 104%) but forecasts are catastrophic: 1wk fc_long -76.1%, 4h fc_long -53.4%, bullish_prob 0.
6SAHAVOID2.3Cheap (fwdPe 10) but 1d recent -33.4%, all forecasts negative, Barclays cut PT to $87 — falling knife.
7XNDUAVOID1.5PS 744, operMargin -1410%, profitMargin -1386% — pure speculation, no signal to confirm entry.

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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.