Today’s AI Top Pick: SRAD
7/17/2026 · Swing Setup screen · a free sample of K3vl4r’s AI-curated picks.
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Sportradar (SRAD) is the cleanest swing setup in the pool right now: a fundamental_score of 8, near_term_bullish of 1.0, and — critically — a position_in_21bar_range_pct of 0% on the 1h, 4h AND 1d timeframes. That means we're buying at the absolute lows of the recent range, not chasing. Fundamentals are best-in-class here: PEG 0.47, fwdPe 19.5, epsNextY +69.7%, salesYoY +24.4%, recom 1.36, targetUpside +42.3%. Unlike FUTU (fund score 8 but under a DOJ probe headline from July 3) and TMDX (analyst PT just cut), SRAD's most recent catalyst is JP Morgan RAISING its price target to $17 on July 15 — an ~18% catalyst-driven floor that lines up with the 1d fc_mid of +41.24% and fc_long of +39.47%.

- 1wk fc_mid -8.52% and fc_long -6.55% suggest longer-horizon models remain skeptical; if bounce fails, weekly trend resumes down
- Operating margin only 12.35% and profit margin 5.2% — SRAD is a growth-at-a-reasonable-price story, not a cash cow; any revenue miss punishes it hard (already -37.6% YTD, -50.4% Y/Y)
- PE 59.69 is optically expensive if growth decelerates below the 24.4% salesYoY pace
- Sports betting/data sector sentiment can move on regulatory news (state gambling policy, EU data rules) not captured here
- Position_in_range 0% can persist — 'oversold can stay oversold'; if $14 breaks, next support is materially lower
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | SRAD | BUY NOW | 8.6 | Fund_score 8, at 0% of range on three timeframes, JPM raised PT, all intraday forecasts green — clean mean-reversion setup. |
| 2 | MNDY | BUY PULLBACK | 8.2 | Huge 1wk fc_long +148.9% and near_term 1.0, but 4h short -8.69% says wait for a dip toward $75. |
| 3 | FUTU | BUY PULLBACK | 7.6 | Best fundamentals in pool (ROE 28%, margin 42%) but DOJ probe headline is a real overhang — position smaller. |
| 4 | CALX | BUY PULLBACK | 7.2 | 1d fc_mid +37.6%, fund_score 7.25, but earnings next week = event risk right before entry. |
| 5 | STEP | BUY NOW | 6.8 | Near_term 1.0, 1d fc_mid +29.9%, recom 1.38 — but Evercore just lowered PT to $50. |
| 6 | TMDX | WAIT | 6.5 | 1d fc_mid +56% is compelling but at 95% of 4h range = chasing, and analysts just cut PT. |
| 7 | AVAV | BUY PULLBACK | 6.2 | 1d fc_mid +51%, Raymond James constructive, but 4h fc_short -5% and negative margins raise near-term risk. |
| 8 | TARS | BUY NOW | 6.0 | 1h/4h all positive fc, iRenix deal expands pipeline, recom 1.11 — but weekly forecasts sharply negative. |
| 9 | BKV | BUY NOW | 5.9 | Fund_score 8, PE 7.84, PEG 0.61, bullish_prob 0.8, positive forecasts across 1h/4h/1d. |
| 10 | CELH | BUY PULLBACK | 5.7 | 1d fc_mid +50.6%, salesYoY 123%, but consumer-staple headwinds noted by UBS this week. |
| 11 | TKC | BUY NOW | 5.6 | Cheap (PE 11.7, PEG 0.15), all short/mid fc positive, but forecast magnitudes modest (+2-4%). |
| 12 | GIL | WAIT | 5.4 | Fund_score 8 but at 100% of 4h range and 84% of daily — chasing here, and weekly fc turned negative. |
| 13 | HMY | WAIT | 5.2 | PE 10.2, PEG 0.09 look great, but 1wk fc_mid -41% and fc_long -61.6% signal gold correction risk. |
| 14 | ROAD | BUY PULLBACK | 5.1 | Strong 1h/4h/1d forecasts but 1wk fc_long -54% and stock already up 212% off lows — extended. |
| 15 | KC | BUY PULLBACK | 5.0 | Big 1d fc_mid +51% and near_term 1.0, but no earnings (fwdPe null), speculative China ADR. |
| 16 | KRMN | WAIT | 4.8 | Big daily fc_long +58.7% but PE 209, fwdPe 51.5, and Simply Wall St flags trading above fair value. |
| 17 | SARO | WAIT | 4.5 | Fund_score 8 but near_term only 0.4 and 4h/1d forecasts flat/mixed — no urgency. |
| 18 | CAI | BUY PULLBACK | 4.4 | Positive product catalysts (Detect launch) and 1d fc_long +39.7%, but bullish_prob null and profitMargin -45%. |
| 19 | VFS | WAIT | 4.2 | SalesYoY 74%, positive forecasts, but gross margin -51% and profit margin -110% — broken business model. |
| 20 | AAON | WAIT | 3.9 | Perf YTD +48% already, bullish_prob 0, elevated valuation — story is priced in. |
| 21 | BMNR | AVOID | 3.8 | $9B net loss disclosed, PS 152, profit margin -14,335% — pure speculation, no fundamentals. |
| 22 | CNR | WAIT | 3.6 | Bullish_prob 0.8 but no fwdPe visibility, weak fundamentals, minimal recent catalyst. |
| 23 | TTAN | WAIT | 3.5 | 1d fc solid but 1h/4h short forecasts all negative and no 1wk data — signal thin. |
| 24 | LOAR | AVOID | 3.2 | Morgan Stanley just downgraded to Equal-Weight with PT cut; PEG 2.4, forecasts turning negative. |
| 25 | CLBT | AVOID | 3.0 | CEO sold $1.6M in shares July 14; bullish_prob 0, 4h and weekly fc_long -15%/-37%. |
| 26 | DLO | AVOID | 2.5 | All forecasts negative across every timeframe; director selling — screen passes but tape broken. |
| 27 | TPC | AVOID | 2.3 | 1wk fc_long -81.3%, bullish_prob 0 — screen fundamentals do not offset forecast collapse. |
| 28 | TGB | AVOID | 2.0 | 1wk fc_long -75.9%, weakness in Chinese metals demand, PE 246 — sell signal. |
| 29 | LC | AVOID | 1.9 | All fc_short/mid/long negative on every timeframe, bullish_prob 0, at 86% of weekly range. |
| 30 | HAPN | AVOID | 1.8 | Duplicate of LC, at 90% of weekly range with fc_long -36% — top-picking territory. |
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