Today’s AI Top Pick: TMUS
8/13/2026 · Lean Rider screen · a free sample of K3vl4r’s AI-curated picks.
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T-Mobile is the cleanest 'quality + setup' combination in this pool. Fundamentals are the strongest of the top-ranked names (fundamental_score 8, PE 18.54, fwdPe 12.75, PEG 0.65, ROE 17.99%, profitMargin 11.45%, operMargin 21.17%, recom 1.43, targetUpsidePct 36.2%), and it passed the lean_rider screen with RSI 46.54 — right at the reload zone. Bullish_prob is a full 1.0 with near_term_bullish 0.6, and the multi-timeframe forecasts are constructive without being cartoonish: 1h fc_mid +3.5%, 4h fc_long +10.6%, and importantly 1d fc_short +4.64% / fc_mid +13.81% / fc_long +14.08%. Only the weekly is fractionally negative (fc_long -0.71%) — well within noise and consistent with the -15.4% weekly drawdown creating a mean-reversion tailwind rather than a broken trend.

- Weekly forecasts are flat-to-slightly-negative (fc_long -0.71%), so if the higher timeframe wins out the trade may chop rather than trend — size accordingly.
- Stock is -29.79% YoY with -15.4% weekly drawdown; if broader telecom/comm-services sentiment turns risk-off there is little support until $168 area.
- Debt/Equity of 2.12 is elevated; any rise in long rates or credit spreads would pressure the multiple even with strong FCF.
- New phone plan perk removal (8/13 headline) is minor now but could signal ARPU/retention pressure if churn ticks up in Q3 print.
- Near-term 1h forecasts are essentially flat (fc_short -0.04%), so you may sit through 1–3 sessions of chop before the daily forecast plays out.
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | TMUS | BUY NOW | 8.5 | Quality megacap at RSI 46, low weekly range position, +13.8% mid-forecast, fundamental_score 8, no news landmines. |
| 2 | AZO | BUY NOW | 8.0 | Near_term_bullish 1.0, 1d fc_long +21%, mid-range position, PE 20.9 and recom 1.42. |
| 3 | CPRT | BUY PULLBACK | 7.6 | Best forecast tape (+37% long) and elite margins, but 1h fc slightly negative — buy on any dip toward $28. |
| 4 | LKQ | BUY PULLBACK | 7.0 | 1wk fc_long +59.5% and fwdPe 7.99, but 4h position 93% = chasing; wait for pullback to $23.5. |
| 5 | CELH | BUY PULLBACK | 6.6 | 1d fc_mid +67.7% is eye-popping, but PE 119, COO shakeup, and profitMargin 1.97% argue for a smaller add on weakness. |
| 6 | UBER | BUY PULLBACK | 6.3 | Near_term_bullish 0.8 and robotaxi catalyst, but 1wk fc_long -7.27% and PEG 3.08 cap the upside. |
| 7 | BWXT | BUY PULLBACK | 6.0 | Near_term_bullish 0.8, 4h fc_long +10.6%, but 1wk fc_long -43% is a warning. |
| 8 | VST | WAIT | 5.5 | Daily forecast bullish but 1wk fc_long -33.8% signals higher-TF deterioration despite Q2 beat. |
| 9 | STZ | BUY PULLBACK | 5.5 | Near_term_bullish 1.0 and PE 12.78 cheap, 1wk fc_long +52%, but perfYear -21% and salesYoY -9.99% keep it defensive. |
| 10 | STWD | WAIT | 5.0 | Bullish_prob 1.0 but forecasts small (+7% 4h long) and rate-sensitive REIT. |
| 11 | PEP | WAIT | 4.8 | Fundamentals solid but 1h at 96% of range and forecast magnitudes modest. |
| 12 | DKNG | WAIT | 4.5 | 1wk fc_long +39.8% but 1d position at 100% of range = chasing, negative margins. |
| 13 | CI | WAIT | 4.3 | Cheap (PE 11.47) but 1d fc negative and healthcare regulatory noise (Warren/Cuban headlines). |
| 14 | OKLO | WAIT | 4.0 | Massive 1d fc +86.4% but no earnings, CEO just sold $4.9M, and weekly forecasts collapse. |
| 15 | ALB | WAIT | 4.0 | Battery narrative and RBC outperform, but 1d fc negative and profitMargin 0.97%. |
| 16 | AA | WAIT | 3.8 | Cheap PE 10.5 and PEG 0.42, but forecasts flat-to-negative across TFs. |
| 17 | XEL | WAIT | 3.5 | Position at 100% of 1h/4h range with slightly negative forecasts across horizons. |
| 18 | HAL | AVOID | 3.2 | Bullish_prob 0.2, all TF forecasts negative, -16.8% weekly drawdown = broken. |
| 19 | RMBS | AVOID | 3.0 | 1wk fc_long -52.9% overwhelms buyback catalyst and PS 14.49 is stretched. |
| 20 | WMB | AVOID | 3.0 | Bullish_prob 0, fwdPe 28.6, forecasts negative — 'premium despite strong returns' headline captures it. |
| 21 | BG | AVOID | 2.7 | All TF forecasts negative, 1wk fc_long -23.7%, thin 1.1% profit margin. |
| 22 | KNX | AVOID | 2.5 | PE 271, 1d fc_long -19%, 1wk fc_long -33% — priced for perfection, forecast disagrees. |
| 23 | CMI | AVOID | 2.3 | 1d fc_long -23%, 1wk fc_long -54.3% after 22.8% weekly run — reversion setup. |
| 24 | DY | AVOID | 2.2 | Bullish_prob 0, 1wk fc_long -73.8% — the tape is screaming top. |
| 25 | MTSI | AVOID | 2.0 | PS 20.4, 1d position 99%, 1wk fc_long -69% — parabolic top signature. |
| 26 | FLEX | AVOID | 1.8 | 1wk perf +93.7%, 1d fc_long -44.9%, 1wk fc_long -66.5% — textbook blowoff. |
| 27 | VRT | AVOID | 1.8 | PE 65, 1wk fc_short/mid/long all -36.26%, deeply negative forecasts. |
| 28 | FIX | AVOID | 1.7 | PerfYear +142%, 1d fc_long -32%, 1wk fc_long -77.5% — mean reversion loaded. |
| 29 | CIEN | AVOID | 1.6 | PerfYear +348%, 1d position 100%, 1wk fc_long -89% — hot-money exit imminent. |
| 30 | BE | AVOID | 1.5 | PE 323, PerfYear +475%, 1d fc_long -60%, 1wk fc_long -86% — pure momentum trade, screen passes but tape says top. |
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