Today’s AI Top Pick: TRMB
7/20/2026 · Bullish Consensus Reliable Bullish screen · a free sample of K3vl4r’s AI-curated picks.
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Trimble is the cleanest setup in this pool because it satisfies every weight in the rubric at once. Multi-timeframe agreement is unambiguous: 1h fc_short +5.13% / mid +10% / long +12.49%, 4h +8.26/+17.95/+22.57, 1d +18.23/+41.28/+36.74, and 1wk +6.49/+20.63/+25.63 — all four horizons and all three tenors point up, with near_term_bullish flagged at 1.0 and bullish_prob 1. Very few names in the screen have zero red bars across the whole matrix; most have at least one negative timeframe (WAY, BR, SPOT, TMUS, NOW short-term, PODD 1h/4h all negative). Crucially, TRMB is NOT extended. Position in the 21-bar weekly range is only 18.36% and drawdown from the weekly high is -24.37%, meaning you are buying a base-building name, not chasing a runaway like ADSK (1d position 96.28%, 4h 97.72%), MORN (1h/4h at 100%), BR (100/100/100 with negative 1h forecast), or BABA (1d at 100%). On the daily, TRMB sits at 83.66% of range with only -1.4% drawdown — enough momentum to confirm the turn but with the weekly base offering a wide margin of safety. Fundamentals back the tape: fwdPe 12.93, PEG 0.84, debt/eq 0.25, ROE 8.25%, profitMargin 12.37%, analyst recom 1.31 (strong buy), and targetUpsidePct 56%. Fundamental score is 7.75 and it matched the strict screen. The recent news feed is unequivocally supportive — 'Trimble Could Be 35% Undervalued On Its Subscription Shift Narrative' and Wells Fargo maintaining Overweight — with no dilution, guidance cut, litigation, or short-seller report to worry about. Why today, not later: shorter timeframes have already turned (1h +1.72% 21-bar, 4h +5.03%, 1d +7.81%) while the weekly is still deep in its range — that is the textbook window before a weekly base breakout. Waiting for the 1wk position to lift means paying up. Earnings are the one landmine (news notes an upcoming release), which is a reason to size sensibly rather than skip; the forecast alignment already prices in the setup being right.

- Upcoming earnings release cited in headlines — binary event risk that can override the multi-timeframe alignment
- 1wk recent_21bar_pct is -24.37% and 1wk position 18.36%: the weekly trend is not yet confirmed, so a failure of the daily reversal could re-visit lows
- Sales YoY only +3.25% — growth is slow relative to peers like PODD (+31.9%) or CELH (+123%), so the thesis depends on the subscription-shift narrative playing out
- PE 27.65 vs fwdPe 12.93 implies the market is heavily reliant on the forward earnings ramp; any guide-down compresses the multiple fast
- Wells Fargo lowered its price target to $61 (still Overweight) — indicates sell-side is trimming enthusiasm even while remaining constructive
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | TRMB | BUY NOW | 8.6 | All four timeframes bullish, weekly position only 18%, near_term 1.0, and Wells Fargo/undervaluation narrative in the news. |
| 2 | PDD | BUY NOW | 8.3 | Deep-value growth (PE 9.17, PEG 0.61) with 1d/1wk fc_mid +31.6%/+41.15% and 1wk position at 31%. |
| 3 | ADSK | BUY PULLBACK | 8.0 | Perfect forecast alignment and elite margins, but 1h/4h/1d positions all >93% — wait for a dip. |
| 4 | EXLS | BUY PULLBACK | 7.8 | All-positive forecasts with recent analyst upgrade, but 1h/4h at 100% of range and 1wk fc_short only +0.64%. |
| 5 | BILI | BUY NOW | 7.6 | 1d fc_short +30.66%, $300M buyback announced, 1wk position 22% — good base with catalyst. |
| 6 | MSFT | BUY NOW | 7.4 | Best-in-class fundamentals (opMargin 46.8%, profitMargin 39.34%) with mild positive forecasts; low-volatility core position. |
| 7 | BABA | BUY PULLBACK | 7.3 | Strong daily and 4h forecasts plus positive AI news, but 1d position at 100% and 1wk forecasts negative. |
| 8 | MNSO | BUY PULLBACK | 7.2 | Peg 0.17, salesYoY 30.5%, 1d fc_short +49.77% — but sitting at 100/100/99% of near-term range. |
| 9 | CALX | BUY NOW | 7.0 | 1d fc_mid +31.96%, salesYoY 28.4%, PEG 0.44, 1wk position 27% — earnings catalyst next week. |
| 10 | PEGA | BUY PULLBACK | 6.9 | Explosive daily/weekly forecasts (1d fc_mid +53.27%) but near_term_bullish 0.2 and Q2 earnings binary. |
| 11 | PODD | BUY PULLBACK | 6.8 | 1d fc_mid +56.4% and 1wk +33.14%, but 1h/4h forecasts are negative and position is 100% on multiple tfs. |
| 12 | NOW | BUY PULLBACK | 6.7 | Strong 1d fc_long +41% and long-term bull narrative, but 4h fc_mid -5.34% and 1wk drawdown -18%. |
| 13 | MORN | BUY PULLBACK | 6.6 | 1wk fc_long +44.97%, near_term 1.0, but 1h/4h at 100% of range and 1h fc_mid -5.95%. |
| 14 | CRM | BUY PULLBACK | 6.5 | fwdPe 10.93, 1d fc_mid +30.83%, but perfYtd -35% and Adobe/competition headlines cloud the story. |
| 15 | LRN | WAIT | 6.3 | 1wk fc_mid -11.28% and fc_long -25.4% contradict short-term optimism; forecasts diverge across tfs. |
| 16 | ACN | BUY PULLBACK | 6.2 | Absurd 1wk forecasts (fc_long +118%) look like outliers given perfYear -49% and recom 2.0 at screen edge. |
| 17 | WAY | WAIT | 6.1 | Best analyst recom (1.16) but 1h fc_long -18.37% and 4h/1h heavily negative — forecast tape doesn't confirm. |
| 18 | EXE | WAIT | 5.9 | Cheap (fwdPe 10.85) but 1wk fc_short/mid/long all negative and epsNextY -4.9%. |
| 19 | MMS | WAIT | 5.8 | Cheap (fwdPe 6.43) with 80% target upside but sales declining -1.44% YoY; no tf data to confirm entry. |
| 20 | DSGX | WAIT | 5.7 | Solid margins (opMargin 33.18%) but PEG 1.55 and fwdPe 27.67 leave little cushion; no tf confirmation. |
| 21 | TYL | WAIT | 5.6 | fwdPe 21.45 with PEG 1.39 — priced for perfection right into earnings. |
| 22 | SE | AVOID | 5.5 | 1h fc_long -15.38% and 4h fc_mid -10.48% — momentum stalling at 4% dd from high. |
| 23 | PFSI | WAIT | 5.4 | Barclays downgrade, debt/eq 3.98, and 1wk fc_short -2.13% — screen pass on paper only. |
| 24 | TMUS | WAIT | 5.3 | 1h fc_mid -4.29% and only modest daily forecasts; defensive but no edge here. |
| 25 | NICE | WAIT | 5.2 | 1h fc_short/mid/long all negative (-8 to -6%) despite bullish weekly narrative — mixed signals. |
| 26 | FIGR | AVOID | 5.1 | Two brokers cut price targets in July; bullish_prob null and no 1wk tf data — insufficient confirmation. |
| 27 | CELH | AVOID | 4.9 | UK ban concerns, price target cuts, shortFloat 20%, PE 69 — negative catalyst just landed. |
| 28 | BR | AVOID | 4.8 | 1h fc_short -5.47% and 1wk fc_short -7.56% with position at 100% on three tfs — classic chase trap. |
| 29 | GRAB | AVOID | 4.7 | CFO sold 50k and CEO sold 400k shares in July; 1h at 0% of range shows the distribution. |
| 30 | SPOT | AVOID | 4.5 | 1wk forecasts brutal: fc_short -19.54%, fc_mid -21.66%, fc_long -24.41% — screen pass overridden by tape. |
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