Today’s AI Top Pick: TMDX

7/6/2026 · Highly Shorted Turnaround Deep Rotation screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Highly Shorted Turnaround Deep RotationTMDXBUY NOW8.6 / 107/6/2026

TransMedics (TMDX) is the cleanest intersection of strong screen fundamentals AND confirming multi-timeframe tape in this pool. It carries a fundamental_score of 6.75 with genuinely rare metrics for a name down 46% YoY: PE 15.8, fwdPe 20.3, ROE 45.22%, profitMargin 27.04%, salesYoY +30.24%, epsNextY +72.22%, and analyst recom 1.64 with targetUpsidePct +70.4%. Unlike most turnaround names in this list, TMDX is already GAAP-profitable with high margins — this is a real business trading like a broken one. The tape confirms without the stock being overextended. Mid- and long-horizon forecasts are positive across every timeframe: 1h fc_mid +22.69%, 4h fc_mid +77.18% / fc_long +101.76%, 1d fc_mid +65.30% / fc_long +46.92%, and even the weekly is positive (fc_mid +31.39%, fc_long +29.28%). Bullish_prob is 1.0. Critically, position in the 21-bar range is only 26.52% on the daily and 7.92% on the weekly with a -52% weekly drawdown — you are buying deep in the base, not chasing a breakout. That is the exact opposite of names like PAR, SGRY, CELH and MNDY, which show similar forecasts but sit at 100% of their daily/hourly range. Compared to PSIX (the highest fundamental_score at 7.5), TMDX wins on tape: PSIX's 1wk forecast is severely negative (fc_mid -53.14%, fc_long -63.61%) with weekly pos 0.52% — the long-timeframe model does not confirm the fundamental thesis. TMDX's every horizon points up. Compared to BYRN/KVYO/PAR, TMDX is not sitting at range highs. News flow is a tailwind, not a landmine: 'TMDX Stock Rallies As Analyst Sees 77% Upside' (Jul 1) and 'Growth Stocks to Buy on the Dip' (Jul 2) — no dilution, no legal issues, no guidance cuts. TODAY is the right entry because the 4h and daily have already put in higher lows (recent_21bar_pct -11.86% and -2.34%) while the hourly holds pos 78.99% — a coiled setup at the low end of a multi-week base with a profitable business and a 77% analyst upside case. Waiting risks giving up the daily fc_short +65.25%.

TMDX forecast chart
Entry zone
$67.50 – $70.50 (buy current $69.70 or on any pullback toward the 4h base at $67)
Stop loss
$61.50 (below the recent weekly drawdown pivot; ~12% risk)
First target
$85 – $88 (aligns with daily fc_short +22% and 4h fc_mid recovery)
Longer target
$115 – $120 (analyst consensus +70% upside; 4h fc_long +101% implies ~$140 blue-sky)
Risks
  • Short float 23.02% cuts both ways — squeeze fuel, but also reflects real bearish conviction; any Q2 organ-transport volume miss triggers fast downside
  • Weekly recent_21bar_pct -48.39% and dd_from_21bar_high -52.02% mean the primary trend is still down; buying a base that hasn't confirmed a higher high yet
  • debtEq 1.75 and healthcare logistics dependency on partner hospitals — any reimbursement/regulatory headline hits hard
  • 1h fc_short is slightly negative (-1.18%) — near-term entry may see a $2-3 dip before follow-through; scale in rather than one-shot
  • Near_term_bullish is only 0.4 despite bullish_prob 1.0 — model sees longer horizon strength but choppiness in the next few sessions
Honorable mentions
PSIXBest raw fundamentals in the pool (PE 8.37, ROE 75.67, profitMargin 14.28, fundamental_score 7.5) with daily fc_short +71.87%, but weekly forecast is deeply negative (-53% mid, -64% long) and weekly pos 0.52% — long-timeframe tape does NOT confirm. Great value story but demands patience for a weekly reversal signal.
BYRNAll timeframes bullish (4h fc_long +164%, 1d fc_mid +137%), bullish_prob 1.0, profitable (PE 18.96, ROE 14.32, profitMargin 7.3), epsNextY +462%. Only reason it isn't #1: pos 97.24% on daily and 93.98% on 4h — you're buying at the top of the intraday range. Better on a pullback to $6.50.
Full ranking (30)
#SymbolVerdictScoreRead
1TMDXBUY NOW8.6Profitable turnaround (PM 27%, ROE 45%) with every timeframe forecast positive and price at only 26% of daily range — no news landmines.
2PSIXBUY PULLBACK7.8Best fundamentals in pool (PE 8.4, ROE 75.7) but weekly fc_long -63.6% is a red flag — wait for weekly base confirmation.
3BYRNBUY PULLBACK7.3Profitable, epsNextY +462%, 1d fc_mid +137%, but pos 97% on daily — wait for pullback to $6.30-6.50.
4KVYOBUY PULLBACK6.9AI catalyst live (+13.4% headline), 1wk fc_mid +85%, but pos 98% on 4h/daily — chasing risk.
5MNDYBUY PULLBACK6.7Q1 beat + buyback + AI, 1wk fc_mid +200%, but 1h/4h pos 100% — let it cool to $75.
6PARBUY PULLBACK6.41d fc_long +90%, 1wk fc_mid +143%, but RSI 72.5 and pos 100% across intraday — extended.
7QXOBUY NOW6.2TopBuild acquisition catalyst overnight, pos 41% daily, 1wk fc_long +52%, but near_term_bullish 0.0.
8WINGBUY PULLBACK6.0Profitable (PM 15.8%, GM 82.6%), 4h fc_long +53%, but pos 100% on 1h/4h/1d — wait for dip.
9CELHBUY PULLBACK5.9Momentum shift confirmed by headlines, salesYoY +123%, but pos 100% intraday and PE 79 stretched.
10ALKTBUY PULLBACK5.7JANA 13D activism catalyst, peg 0.42, all TFs positive but pos 97% daily — extended after news.
11PDYNBUY NOW5.3Defense contract wins, all mid/long forecasts positive, pos 8% daily — good base, high risk profile.
12FIPBUY NOW5.1Buy-rated initiation at $8.75 target, pos 34% daily, 1wk fc_long +46%, but debtEq 3.96.
13CWHWAIT4.61wk fc_long +157% but analysts cutting targets and negative SA notes — tape vs. narrative conflict.
14WGSWAIT4.5Analyst target raises, epsNextY +1817% but pos 100% intraday and 1h fc_long -16%.
15AISPWAIT4.3Recent contract wins but 'Backlog too small, dilution risk too big' SA piece flags landmine; small cap $77M.
16PROPWAIT4.21wk fc_long +341% is eye-popping but debtEq 1222 and ROE -700% — lottery ticket, not a buy.
17INOAVOID3.9$300M offering headline = imminent dilution; weekly forecast -100% — screen thesis broken by news.
18SPRYWAIT3.8Kicked from Russell defensive indices, forced selling ongoing; short float 35.8% brutal.
19ASSTAVOID3.7PS 187, profitMargin -12,110% — this is a Bitcoin treasury vehicle now, not the screened business.
20MVSTWAIT3.6Governance investigation + exec departure = broken thesis despite peg 0.09.
21DVLTWAIT3.5Sold 837 BTC for $50M to Scilex; 1wk forecast -100% — tape says the party is over.
22WIXWAIT3.4fwdPe 6.82 attractive but recent SA piece flags partners revenue concerns; 1wk perf -52%.
23FLWSWAIT3.2Multiple 'stocks with warning signs' articles; salesYoY -9.5% and profitMargin -8.7%.
24MRLNWAIT3.0Positive de-risking events but PS 509, profitMargin -8807%, no 4h/1wk tape available.
25CTXRWAIT2.91wk fc_long +2589% is a model artifact on a $15.7M micro-cap; not investable size.
26FRMMWAIT2.7Short float 91.89% is a warning, not a bull case; profitMargin -5489%.
27SGRYAVOID2.6RSI 75.7, pos 100% on every timeframe, all short-term forecasts negative — chasing top.
28CRWVWAIT2.5Stock plummeted this week, pos 5% daily, debtEq 7.39 — falling knife with no near-term signal.
29PCTAVOID2.3grossMargin -1125%, profitMargin -2215%, debtEq 99.58 — screen pass is misleading.
30RDWAVOID1.8bullish_prob 0.0, daily fc_short -9.2%, fc_mid -15.3%, weekly fc_mid -37% — tape rejects.

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