Today’s AI Top Pick: TMUS
8/10/2026 · Undervalued Emerging screen · a free sample of K3vl4r’s AI-curated picks.
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T-Mobile is the cleanest full-stack setup in this pool right now: it's the only large-cap in the list where all four timeframes agree without asking you to chase. The 1h (+0.36% short is a rounding error, then +5.33% mid / +4.86% long), 4h (+0.04/+4.83/+8.56), and 1d (+6.08/+13.15/+15.13) forecasts all lean bullish, while price sits at just 13.36% of the 21-bar weekly range with a -15.28% drawdown from the weekly high. That is the exact opposite of the FOMO chase you get with ACM, WAY, PDD or FUTU, which are pinned at 100% of range on multiple TFs. Fundamentals corroborate the tape: fwdPe 12.75, PEG 0.65, ROE 17.99, profitMargin 11.45, salesYoY +9.68, epsNextY +27.43, recom 1.42 (Strong Buy), and analyst targetUpsidePct 37.5. Bullish_prob is 1.0 and near_term_bullish is 1.0. Recent headlines are a net positive — the CEO publicly dismantled SpaceX/Starlink's mobile ambitions on Aug 10 (a competitive-moat catalyst), and Verizon just had a nationwide outage. No guidance cut, no legal overhang, no dilution. Why today rather than wait? Because TMUS is priced near the bottom of its weekly range (13.36 pos, -15.28 dd) after a -27% year — this is the pullback other names still need. Compare to INTU, which has a monster 1d/1wk forecast (+87/+90 long) but negative 1h/4h forecasts telling you a better entry is likely coming this week; or MMS which has cheaper fwdPe (6.68) but is pinned at 100% of the 4h range. TMUS gives you multi-TF confirmation AND a low-range entry — that combination is the strongest edge in the set. The only knock is a mildly negative weekly forecast (-1.5 to -2.6%), which reflects the recent -15% correction rather than a broken thesis. Given the -41% one-year decline is already priced in and the daily/mid-horizon models see +13-15%, this is a favorable risk/reward from spot.

- Weekly forecast is slightly negative (-1.53 / -2.38 / -2.57%) — the longest timeframe hasn't fully turned yet, so risk of another leg lower before the reversal completes.
- Perf-year is -27.06% and YTD -12.73%; the stock is in a clear downtrend and any macro/telecom sector weakness (Verizon outages point to industry stress) can extend it.
- Debt/Equity of 2.12 leaves less cushion in a higher-rate scenario; interest expense sensitivity is real at $190B market cap.
- Short float 4.68% isn't extreme but reflects lingering skepticism; the stock hasn't printed a higher weekly high yet, so this is buying an unconfirmed bottom.
- 1h dd_from_high -1.30 and range pos 68 means intraday the tape is mid-range, not oversold — a quick shakeout to $174 is a plausible scenario before the up-move.
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | TMUS | BUY NOW | 8.6 | Full four-TF alignment, weekly range pos 13.36, PEG 0.65, near_term_bullish 1.0, positive competitive news — the cleanest low-range entry. |
| 2 | MMS | BUY NOW | 8.4 | Cheapest fwdPe (6.68) with all three TFs bullish and forecast magnitudes 20-40%+; slight caveat is 4h pos 100. |
| 3 | INTU | BUY PULLBACK | 8.1 | Massive 1d/1wk forecast (+87/+90%) and fundamental_score 8, but negative 1h fc suggests a better entry near $315. |
| 4 | WMG | BUY NOW | 7.7 | All 4 TFs bullish forecasts, PEG 0.33, ROE 92.17, positive earnings coverage; debtEq 5.76 is the wart. |
| 5 | FIS | BUY NOW | 7.5 | FwdPe 6.36, PEG 0.71, huge 1wk fc (+48.98/+76.19), positions mid-range — deep value with model support. |
| 6 | HDB | BUY PULLBACK | 7.2 | Weekly pos 8.64 and 1d fc +40 long is stellar, but Jefferies just removed HDFC from its India portfolio — wait for news to digest. |
| 7 | ORCL | BUY PULLBACK | 7.0 | $7B Pentagon win is a real catalyst, but 1h/4h/1wk fc all negative and pos 100 on three TFs — chasing here. |
| 8 | BILI | BUY PULLBACK | 6.8 | Strong 4h/1d forecasts (+22 to +48%) but 4h pos 100 and pe 42.8; wait for a dip. |
| 9 | TRMB | BUY PULLBACK | 6.7 | near_term_bullish 1.0 but 4h and 1d pos 100 with 1wk fc barely positive — extended entry. |
| 10 | PDD | BUY PULLBACK | 6.6 | Fundamentals excellent (pe 10, PEG 0.67, profitMargin 21.86) but pos 100 on 4h/1d and 'regulatory risk deserved discount' headline. |
| 11 | WAY | BUY PULLBACK | 6.5 | Barclays raised PT and Zacks upgrade, forecasts +9-36% but at pos 100/92/80 across TFs — chasing. |
| 12 | ACM | BUY PULLBACK | 6.5 | 4h/1d forecasts +25-34% but pos 100 both TFs and grossMargin only 7.73 — wait for a pullback. |
| 13 | MNSO | BUY PULLBACK | 6.4 | PEG 0.17, salesYoY 30.5 and huge 4h fc (+55 mid) but near_term_bullish only 0.2 and 4h pos 100. |
| 14 | MLCO | BUY PULLBACK | 6.2 | PEG 0.35, fwdPe 8.1, 1wk fc +59.96 long — high upside, but roe null and profitMargin 4.33 keep quality low. |
| 15 | WMG duplicate skip | WAIT | 0.0 | |
| 16 | FINV | BUY NOW | 6.2 | FwdPe 3.4 is absurdly cheap, all 3 TFs bullish, but market cap $631M raises liquidity risk. |
| 17 | BIRK | BUY PULLBACK | 6.0 | PE 17.3, salesYoY 20.35 and near_term 1.0, but board exit headline and short float 20.24% are red flags. |
| 18 | INTR | BUY PULLBACK | 6.0 | PE 8.08, PEG 0.21 and 4h fc +52.93 short is huge, but 1wk pos 0.57 signals capitulation not yet resolved. |
| 19 | FUTU | AVOID | 5.9 | Strong forecasts but DOJ probe + class actions in the US disqualify it as a #1 conviction buy. |
| 20 | STEP | WAIT | 5.8 | Revenue surged but loss widened, roe -750, operMargin -54 — screen-passing name with broken profitability. |
| 21 | NRG | BUY PULLBACK | 5.7 | 1d fc +29% mid is attractive but shares 'crashing this week' headline and debtEq 5.55, wkly fc -53 long. |
| 22 | VST | WAIT | 5.6 | peg 0.16 attractive but salesYoY -24, wkly fc -18/-36 long, and 'not enough for a buy' headline. |
| 23 | GDDY | WAIT | 5.5 | Strong 1d fc but 'Wall Street losing confidence in AI strategy' and debtEq 573.34 (levered buyback shell). |
| 24 | ADMA | WAIT | 5.4 | Q2 missed estimates, RSI 68.4 already hot; wait for post-miss reset. |
| 25 | KKR | WAIT | 5.3 | bullish_prob only 0.4, 1h/4h forecasts mixed, wkly pos 94 — no edge here. |
| 26 | PFSI | WAIT | 5.2 | Analyst PT cut 13.6%, targetUpside only 17%, debtEq 3.57 — not confirming. |
| 27 | HNRG | AVOID | 5.1 | 1wk fc -32/-54 long is a red flag despite decent short-term forecasts. |
| 28 | VERX | WAIT | 5.0 | pe 555, operMargin 1.08, profitMargin 0.45 — screen artifact, no fundamental foundation. |
| 29 | FRSH | WAIT | 4.8 | bullish_prob 0 and 4h/1d/1wk forecasts all negative despite positive Q2 news. |
| 30 | DCBO | AVOID | 4.6 | bullish_prob 0, 1h/4h/1d fc all negative to flat despite 1wk fc +53 — mixed signals, model bearish. |
| 31 | ORLA | AVOID | 4.2 | Weekly fc -14/-34/-52 despite decent 1d forecasts; the merger-driven tape is deteriorating. |
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