Today’s AI Top Pick: WY
9/4/2026 · Model Aligned screen · a free sample of K3vl4r’s AI-curated picks.
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Weyerhaeuser (WY) is the cleanest multi-timeframe bullish setup in this pool. All four timeframes point higher with escalating magnitude: 1h fc_long +5.64%, 4h fc_long +5.58%, 1d fc_long +7.45%, and 1wk fc_long +16.17% — a rare pattern where the longest horizon shows the biggest upside rather than fading. Bullish_prob is 1.0 and near_term_bullish is 1.0, meaning both the intraday and swing models agree. Critically, you are absolutely NOT chasing here. Position_in_21bar_range is 0% on 1h, 4h, and 1d, with only 13.67% on 1wk. Drawdown from 21-bar high is -10.44% on both 1d and 1wk. RSI 35.11 is oversold but not broken. This is a stock that has been beaten down (-2.74% YTD, -7.17% YoY) into a compressed price zone right as the forecast turns higher — the ideal 'bought at the bottom' geometry versus names like AVGO, ITRN and IONQ that sit at 95-100% of their 1h range. Fundamentals are respectable: PEG 0.44 (cheapest in the group ex-STRL), fwdPe 31.96 is elevated for a REIT but epsNextY growth is +119.38%, targetUpsidePct +34.5%, and analyst recom 1.69 (Buy). Institutional ownership 92.18% provides a floor. Recent news is benign-to-positive (dividend declaration on 8/14), no guidance cuts, no legal overhang, no dilution — unlike PTLO (explicit guidance cut) or CXAI (micro-cap risk). Why today vs. waiting: Price sits at the exact bottom of the 21-bar daily range with a positive short-term forecast (fc_short +1.24%) confirming the turn — waiting risks missing the bounce off support. The 1wk forecast trajectory (+4.49% short → +13.55% mid → +16.17% long) is a clean staircase up. Contrast with STRL (1wk fc_long -63.41%), RCL (1wk fc_long -24.02%), and NYT (-27.91%) where the long-horizon model is actively warning.
- REIT/timber names are rate-sensitive; a hawkish surprise could keep price pinned at range lows (currently 0% of range on 3 TFs)
- SalesYoY -2.62% and roe just 4.97% — profitability is weak versus peers; fwdPe 31.96 leaves little room for disappointment
- Weekly drawdown -10.44% could deepen if -pos_in_21bar_range 0% breaks; no visible support until ~$21.50
- Broader housing/lumber demand softness (implied by IP and construction names also selling off) could weigh on timber pricing
- 1h fc_short is -0.88% — first move could be lower before the mid/long-term thesis plays out; don't panic on an intraday red candle
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | WY | BUY NOW | 8.4 | All 4 timeframes fc_long positive with 1wk +16.17%, price at 0% of range across 1h/4h/1d — textbook oversold bounce setup with dividend support. |
| 2 | HSY | BUY NOW | 7.8 | Clean 1.0/1.0 bullish alignment, all TFs positive, sitting at 0% of 1d range; magnitudes smaller than WY but defensive. |
| 3 | YUMC | BUY NOW | 7.4 | 0.8/0.8 with fundamentals score 7 (peg 0.96, recom 1.24), all TFs in bottom of range, positive undervalued-story headlines. |
| 4 | RCL | BUY PULLBACK | 6.8 | RSI 25.78 deeply oversold, 1d pos 0.83%, but 1wk fc_long -24% flags a longer-term drag. |
| 5 | WMS | BUY NOW | 6.5 | 1.0/0.8 bullish, DA Davidson Buy initiation, all forecasts modestly positive; slightly higher in range (1h 83%). |
| 6 | IP | BUY PULLBACK | 5.9 | 1.0 bullish_prob with 1wk fc_long +10.24% and 4h fc_long +14.89%, but negative near-term and -14.14% profit margin. |
| 7 | STRL | WAIT | 5.5 | Strong fundamentals and 1h/4h forecasts positive, but 1wk fc_long -63.41% is a massive red flag on the swing horizon. |
| 8 | DOV | BUY PULLBACK | 5.3 | 1wk pos 0% with 1h/4h/1d positive forecasts, but 1wk fc_long -13.79% and near_term_bullish only 0.2. |
| 9 | IONQ | WAIT | 4.8 | 1d fc_mid +20.98% is compelling but 1h pos 94.98% means chasing, and 1wk fc_long -49.26% + -560% profit margin scream caution. |
| 10 | NYT | WAIT | 4.6 | Short-term forecasts positive but 1wk fc_long -27.91% and lowest targetUpsidePct (13.5%) in the pool. |
| 11 | ESLT | WAIT | 4.2 | $270M contract news positive, but bullish_prob 0.2 and 1wk fc_long -70.23% override the fundamentals. |
| 12 | ITRN | AVOID | 3.9 | 1h pos 100% (top of range), bullish_prob only 0.2, and 1wk fc_long -61.37%. |
| 13 | AVGO | AVOID | 3.7 | 1h pos 97.46% chasing risk, bullish_prob 0, 1wk fc_long -53.39% — model doesn't confirm the AI narrative here. |
| 14 | PTLO | AVOID | 2.5 | Enormous forecast (1wk fc_long +127%) is undercut by the 8/20 explicit guidance-cut confirmation headline; landmine. |
| 15 | CXAI | AVOID | 1.5 | $8M micro-cap with -446% profit margin, 1d fc_long -87.22%, bullish_prob 0 — the score of 106.5 is a mirage. |
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