Today’s AI Top Pick: WING
8/5/2026 · Highly Shorted Turnaround Deep Rotation screen · a free sample of K3vl4r’s AI-curated picks.
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WING is the cleanest 'deep turnaround' setup in this pool: it fully aligns with the screen's thesis and the tape confirms every dimension the mandate asks for. The stock sits at position 0.0% of the 21-bar range on both the daily AND weekly timeframes, with drawdowns of -22.82% (1d) and -37.55% (1wk) — the exact opposite of chasing. RSI is 29.98 (deeply oversold) and perfYear is -65.15%, yet the fundamentals remain elite for a restaurant name: operating margin 28.77%, gross margin 82.62%, profit margin 16.15%, EPS growth next year +20.59%, analyst recom 1.48, and targetUpsidePct +72%. The forecast tape is where WING separates from BIRK and TMDX. Every meaningful horizon points up with real magnitude: 4h fc_long +57.32%, 1d fc_mid +86.51% / fc_long +83.87%, 1wk fc_mid +36.23% / fc_long +66.12%. Bullish probability is 1.0 and near_term_bullish is a maximum 1.0 — the model is calling for an inflection right here, not after a bounce. That is a rare combination: max-conviction Kronos probability + max-conviction near-term + bottom-of-range positioning. Contrast with the other high-scorers: CELH is pinned at 99.16% of its 1h range (dd only -0.05%) — that is chasing, not buying weakness. BIRK has strong fundamentals and a JPM PT hike to $58, but near_term_bullish is only 0.2 and its short-horizon forecasts are slightly negative (-0.6% to -1.7%), so it wants a few more days. TMDX just ran 171% (per today's headline) and 1wk fc_mid is only +2.33% — most of the move is behind it. PAR's headlines are actually about Paramount (PARA), a false match, and the stock is at 97.89% of its daily range. WING's news is clean-to-mildly-positive (new BBQ flavor launch, Q2 loyalty rollout) with no dilution, no legal action, no guidance cut — the sell-off is sentiment, not fundamentals. Today is the entry because you're getting max drawdown + max bullish probability + max near-term signal on a fundamentally profitable, high-margin franchise. Waiting for confirmation means chasing a stock that the model expects to rip ~+22% short term and ~+66-87% into the mid/long horizon.

- Short float 17.0% is meaningful but not extreme — a failed bounce could see fresh short pressure retest the -37.55% weekly low
- 1h forecast is only -0.76% short and pos 9.81% — near-term can still bleed another leg lower before the daily/weekly bid shows up
- PEG 1.3 and fwdPe 22.66 mean this is NOT a value stock; the thesis depends on same-store sales stabilization — a soft Q3 comp could re-rate lower
- Consumer Cyclical restaurants are exposed to a weakening consumer; sales YoY has decelerated to +7.61% from prior double-digits
- Perf YTD -49.05% shows persistent institutional selling — momentum funds may keep unloading into any rip
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | WING | BUY NOW | 8.8 | Max-probability oversold reversal at 0% of daily/weekly range with fc_long +66-84% and pristine 82% gross margins. |
| 2 | BIRK | BUY PULLBACK | 8.1 | Best fundamentals in the pool + JPM PT hike, but near_term 0.2 says wait 3-5 days for the short-horizon bottom. |
| 3 | TMDX | BUY NOW | 7.6 | 45% ROE, 27% margins, PE 18, daily fc_long +54.63% — quality turnaround with room to run despite recent gain. |
| 4 | PAR | BUY PULLBACK | 7.2 | 1d fc_long +112.51% and 1wk fc_long +138.48% are huge, but pos 97.89% of daily range = chasing; wait for dip. |
| 5 | CELH | BUY PULLBACK | 7.0 | Strongest fundamental score (7.5) with 123% sales growth, but pinned at 99.16% of 1h range — no margin of safety here. |
| 6 | PSIX | BUY NOW | 6.7 | PE 7.87, ROE 75.67%, daily fc_mid +90.52% at top of daily range but wkly deeply drawn down -55.84%; unique cheap-growth combo. |
| 7 | CWH | BUY PULLBACK | 6.4 | 1wk fc_long +176% is compelling but PT cuts from Citi/Fintel are a headwind; wait for stabilization. |
| 8 | FIP | BUY NOW | 6.3 | RSI 30.12 with all timeframes at 0% of range and fc_short 4h +49% — extreme oversold snapback candidate. |
| 9 | KVYO | BUY PULLBACK | 6.1 | Analyst recom 1.17 (best in pool) and Citi PT raise, but 4h/1d already near 84-91% of range. |
| 10 | MP | WAIT | 5.7 | Strategic critical-minerals narrative and 4h fc_mid +21%, but 1wk forecasts turn sharply negative (-40.51%). |
| 11 | ASST | BUY PULLBACK | 5.6 | 4h fc_short +52.81% and Vanguard adding, but PS 182 is extreme; treat as speculative crypto-treasury play. |
| 12 | ASPI | BUY PULLBACK | 5.4 | Recom 1.0, 4h pos 8% oversold with fc_mid +36.9%, but 1wk short-horizon flips -20%; timing tricky. |
| 13 | TNXP | WAIT | 5.2 | FDA Type C meeting is a real catalyst, but weekly forecast (+11,170% short) is a broken outlier — don't trust the tape. |
| 14 | PDYN | WAIT | 5.0 | USAF contract extension positive, but 1wk fc_long -24.69% signals deteriorating trend after +40.85% YTD. |
| 15 | MNDY | WAIT | 4.9 | All timeframes at 89-100% of range with 1h/4h forecasts negative — extended, wait for cool-off. |
| 16 | PROP | BUY PULLBACK | 4.8 | 4h fc_short +122% but debtEq 1222 and 1d forecast flips negative — speculative, small size only. |
| 17 | BTBT | BUY PULLBACK | 4.6 | 4h fc_short +48.81% and 1d fc_long +52.66% off deep oversold, but fwdPe 141 and profitability broken. |
| 18 | METC | BUY PULLBACK | 4.5 | RSI 35 and 4h fc_long +86.42%, but 1wk fc_short -6.66% and Goldman PT cut to $13 caps upside. |
| 19 | UPXI | WAIT | 4.4 | 1wk fc_short +271% is exciting but roe -468%, no sales YoY data, micro-cap risk. |
| 20 | INV | WAIT | 4.3 | 1wk fc_long +141% but operating margin -3586% and PS 93 — unmoored fundamentals. |
| 21 | COSM | AVOID | 4.0 | $14M micro-cap with weekly forecast -100% (delisting/reverse split risk) — don't touch. |
| 22 | VTS | WAIT | 3.9 | 4h fc_mid +26.92% decent but 1wk forecasts turn negative and epsNextY 388% likely a base-effect distortion. |
| 23 | KULR | WAIT | 3.7 | Sold ~333 BTC — treasury monetization is a mild negative; forecasts mixed; wait. |
| 24 | RDW | AVOID | 3.5 | 1wk fc_long -23.7% and stretched after +154% three-year run — forecast tape rolling over. |
| 25 | FRMM | WAIT | 3.3 | Only one timeframe available (1d), bullish_prob 0, roe -590% — too little signal. |
| 26 | PCT | WAIT | 3.2 | 1d fc_long +47.64% but 1wk forecasts negative and debtEq 99.58 with operMargin -1563% — capital structure risk. |
| 27 | FLWS | AVOID | 3.0 | NY AG action for deceptive subscription renewals is a material regulatory headline undercutting the setup. |
| 28 | DFDV | AVOID | 2.8 | 1wk fc_long -51.5%, debtEq 12.5, roe -2398% — broken structure despite oversold bounce potential. |
| 29 | TTAN | AVOID | 2.6 | Bullish_prob 0.2, all timeframes at 100% of range, all forecasts negative — extended sell setup. |
| 30 | PGY | AVOID | 2.2 | Bullish_prob 0, RSI 70.5, pos 100% of weekly range with fc_long -32.53% — this is a top, not a buy. |
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