Today’s AI Top Pick: SRAD

9/9/2026 · Swing Setup screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Swing SetupSRADBUY NOW8.7 / 109/9/2026

SRAD is the cleanest setup on the board today. Multi-timeframe forecast alignment is exceptional: 4h fc_short +60.95%, fc_mid +53.54%, fc_long +66.12%; 1d fc_short +4.84%, fc_mid +48.77%, fc_long +46.57%; and even 1wk fc_long +10.96%. All three timeframes point up with the biggest magnitudes in the mid/long horizon — that's exactly the swing profile we want. Bullish_prob is 1.0 and near_term_bullish is a full 1.0, meaning the tape doesn't disagree. Crucially, we are NOT chasing. Position in 21-bar range is 1.44% (4h), 27.81% (1d), and 6.86% (1wk) — the stock is coiled near the bottom of every window, with dd_from_21bar_high of -21.2% / -7.89% / -20.39%. Compare to AVAV (92% on 1h), HSAI (94.82% on 4h), GENI (99.21%), and KVYO (94.89%) — all extended and prone to fade. SRAD offers asymmetric entry: you're buying weakness, not strength. News catalysts confirm: Wolfe Research initiated Outperform with a $22 PT (~72% above the $12.73 print) on Sep 2, and the Polymarket partnership expansion (Aug 27) is a real growth vector into prediction-market data. No negative headlines. Fundamentals passed the screen (salesYoY 24.68%, epsNextY +114.93%, targetUpsidePct 47.1%, recom 1.6, fwdPe 22.37 is reasonable vs. TTM PE of 211). Yes, profit margin is thin (1.23%) and the stock is down -58.92% YoY — but that's precisely why the setup is compelling: washed-out sentiment, a fresh analyst catalyst, and forecasts pointing to +50%+ mid-horizon. Why TODAY vs. waiting: the 4h chart shows the stock pinned at the bottom of range with the biggest positive short-horizon forecast in the group (+60.95%). Waiting for a break above the 21-bar mid risks giving up the first 15-20% of the move. Enter now, size normally, honor the stop.

SRAD forecast chart
Entry zone
$12.55–$12.90 (scale in around current $12.73; add on any dip to $12.30)
Stop loss
$11.35 (below the recent 4h low, ~-11% risk)
First target
$15.20 (+19%, aligns with 4h fc_short and prior consolidation shelf)
Longer target
$18.50–$20.00 (+45–57%, aligns with 1d fc_mid/long +48% and Wolfe $22 PT)
Risks
  • Thin profit margin (1.23%) and TTM PE of 211 — any revenue miss gets punished hard
  • Short float 8.51% is elevated; downside squeeze possible if sports-betting sentiment sours
  • Weekly tape is still weak (recent_21bar_pct -4.21%, dd -20.39%) — no confirmed weekly uptrend yet
  • Stock is -58.92% YoY and -46.45% YTD — you're catching a knife if the downtrend resumes below $11.35
  • Regulatory/legal risk in sports-betting data licensing (league contract renewals) is an ever-present overhang
Honorable mentions
TKCDeep-value play: PE 10.14, PEG 0.16, fwdPe 5.65, recom 1.0 (strongest analyst conviction in the pool). All three TFs positive (4h fc_short +18.34%, 1d fc_mid +15.03%, 1wk +1–3%), position in range low (0.63 / 52.27 / 9.74), near_term_bullish 1.0. Ceded #1 only because forecast magnitudes are smaller than SRAD and Turkey macro/FX is a persistent tax on the multiple.
AAONHighest fundamental_score (8) with strong 1d fc_long +30.99% and pos_in_range at 0/28/3.96 — deeply oversold quality name. Weekly forecast is muted (+5.16%) and the 1h isn't provided, which is why it's #3 vs. SRAD/TKC. Solid BUY_PULLBACK / BUY_NOW hybrid.
Full ranking (13)
#SymbolVerdictScoreRead
1SRADBUY NOW8.7Bottom-of-range coil with +60%/+53%/+66% 4h forecasts, Wolfe initiation at $22, Polymarket expansion — cleanest multi-TF setup.
2TKCBUY NOW7.9Cheapest name in pool (PEG 0.16, fwdPe 5.65), recom 1.0, all TFs green, position low — value + confirmation.
3AAONBUY NOW7.4Fundamental_score 8, dd -44% from weekly high, 1d fc_long +30.99% — quality oversold industrial.
4KCBUY PULLBACK7.0Massive forecasts (+61% 4h long, +41% 1d long) but 4h pos 79.6% and -5.6% headline today — wait for pullback to $9.50.
5LIFBUY PULLBACK6.34h fc_short +18.77% and pos 5.81% is attractive, but 1wk fc_mid -19.81% and near_term_bullish only 0.2 caution against full size.
6KVYOBUY PULLBACK6.1Strong 1wk fc_long +43.54% and conference tailwind, but 4h pos 94.89% — extended, wait for retest of $16.50.
7ATATBUY PULLBACK5.9Best fundamentals (PE 16.4, ROE 58.78) but 1wk fc_long -13.51% and fresh WSZ Hold downgrade — trim conviction.
8CELHWAIT5.51d fc_mid +37.52% is enticing but 1h/4h/1wk short forecasts are negative — no near-term ignition.
9HSAIWAIT5.24h pos 94.82% at 21-bar high with 1wk fc_long -21.45% — chasing risk into weakening long-term tape.
10AVAVBUY PULLBACK5.01d fc_mid +47.68% is the standout but 1h pos 92.14% and 1wk fc_long -10.58% — needs a real pullback.
11STEPWAIT4.31wk fc_mid -15.83% and fc_long -14.44% undercut the setup; ROE -750 is a red flag despite screen pass.
12VFSAVOID3.8Gross margin -51%, profit margin -110%; forecast alone can't offset structurally broken economics.
13GENIAVOID3.5Bullish_prob 0.2, 4h pos 99.21%, 1d fc_long -9.13% — top of range with weakening tape.

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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.