Today’s AI Top Pick: Z

8/6/2026 · Recently Alerted GARP screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Recently Alerted GARPZBUY NOW8.6 / 108/6/2026

Zillow (Z) offers the cleanest combination of a strong fundamental screen pass, a fresh positive catalyst, and a forecast tape that agrees across every timeframe from an un-stretched entry. The stock just beat Q2 earnings and revenue estimates (Aug 5 headlines), yet trades at only 8.76% position-in-range on the weekly and 38.66% on the daily — this is NOT a chase. Forecasts are massive and consistent: 4h fc_short +48.4% / fc_mid +56.5% / fc_long +75.1%, 1d fc_short +19.2% / fc_mid +67.3% / fc_long +89.3%, and the weekly is the strongest of the group at fc_short +13.5% / fc_mid +82.5% / fc_long +99.0%. Bullish_prob = 1.0 and near_term_bullish = 0.8. On fundamentals, forward P/E of 12.07 is very reasonable for a communication-services platform growing sales 16.83% with EPS-next-year growth of 31.45% and a PEG of just 0.36. Trailing P/E of 143 and thin 2.27% profit margin reflect a business still ramping post-restructuring, but the forward multiple and the just-reported Q2 beat validate the earnings-power reset. Analyst target upside is 62.2% and the fundamental score is 8/8. Critically, several higher-forecast names have news landmines: APP just plunged ~28% after-hours on a revenue miss and soft guide; SRAD was downgraded by UBS and cut its 2026 outlook; ADMA missed Q2 estimates; INTU was downgraded to Hold at Truist; FUTU is under a DOJ probe with class actions; NOW got dinged on Figma's AI-cost warning. Z is the only name in the top tier where the news, tape, fundamentals, and forecasts all point the same direction. Today is the right entry because Z is coiled after the earnings beat but hasn't broken out yet (1wk pos_in_range 8.76%, 1wk dd -31.35% from prior high). You are buying a beat-and-raise print at the bottom of a multi-month base with 4h/1d/1wk all forecasting sharp mean-reversion higher — exactly the setup you want vs. waiting for confirmation and paying up.

Z forecast chart
Entry zone
$31.50–$32.50 (current $32.17; scale in on any dip toward the $31 handle)
Stop loss
$28.50 (below the 4h dd_from_21bar_high low; ~11% risk)
First target
$38.00 (aligns with 4h fc_short +19% path and prior resistance)
Longer target
$48–$52 (weekly fc_mid/fc_long imply +82–99%; take partials into the 50s)
Risks
  • Trailing P/E is 143 and profit margin only 2.27% — any post-beat re-rating disappointment could re-compress the multiple fast
  • Housing/mortgage macro sensitivity: rates staying higher-for-longer (FICO commentary flagged mortgage volume still weak on Aug 5) could cap transaction revenue
  • Short float 7.62% is moderate but not a squeeze setup; downside gaps are possible
  • Weekly recent_21bar_pct is -26.8% — the intermediate trend is still down, so this is a mean-reversion trade, not a trend trade
  • Recom = 2.0 (only Buy, not Strong Buy) and targetUpsidePct 62.2 is aggressive vs. sell-side consensus — analyst downgrades post-beat would sting
Honorable mentions
BILIAll timeframes green (4h/1d/1wk fc positive), near_term_bullish 1.0, bullish_prob 1.0, fwd P/E 13.92, PEG 0.54; SeekingAlpha reiterates Buy into 2Q print. Slightly higher in range (4h pos 82) than Z, which is why it's #2.
PDDCleanest tape: 4h/1d/1wk all fc-positive, no bad news, fwd P/E 7.37, PEG 0.66, profit margin 21.86%, ROE 25.5%. Only knock is 1d pos_in_range 87 — you're paying up a bit vs. Z.
Full ranking (30)
#SymbolVerdictScoreRead
1ZBUY NOW8.6Q2 beat + all-timeframe forecast agreement + bottom of range = ideal GARP long today.
2BILIBUY NOW8.0Clean multi-TF bull setup, near_term 1.0, fwd P/E 14, positive preview coverage.
3PDDBUY NOW7.8Best-in-class fundamentals (fwd P/E 7.4, PEG 0.66), all forecasts positive, no news landmines.
4ADMABUY PULLBACK7.5Huge 1d/4h forecasts (+65%/+75% long) but Q2 miss on Aug 5 argues waiting for the dip to $8.5.
5CRKBUY NOW7.3Deep weekly dd (-44%) with 4h fc_long +76%, near_term_bullish 1.0, fwd P/E 18.3.
6MLCOBUY NOW7.2All TFs green, mid-range, fwd P/E 8.2, PEG 0.36, Citi Buy — quiet compounder setup.
7CELHBUY PULLBACK7.00% position across TFs after -41% weekly, big fc rebound (+86% 1d mid), but Q2 just landed — let it settle.
8PFSIBUY NOW6.9Fwd P/E 6.95, PEG 0.55, near_term 1.0, all fc positive; target cuts already priced in.
9NRDSBUY NOW6.8Fwd P/E 7.9, PEG 0.26, near_term 1.0, all TF forecasts positive, mid-range entry.
10BIRKBUY NOW6.7Deep 1d dd, RSI 32 oversold, all fc positive, dual analyst reiterations.
11CALXBUY NOW6.64h fc_long +48%, 1d fc_mid +31%, sales growth 27.8%, mid-range.
12ORCLBUY PULLBACK6.4Fwd P/E 13.2, PEG 0.5, but 1wk fc negative and 1h/4h forecasts wobble; wait for pullback.
13HSAIBUY PULLBACK6.34h/1d fc strong but 1wk fc negative; wait for Aug 18 earnings clarity.
14WMGBUY NOW6.2Q3 earnings beat, PEG 0.33, all fc positive across TFs, ROE 68.5%.
15INTUBUY PULLBACK6.0Massive 1d fc_long +91% but Truist downgrade to Hold Aug 4 is a cloud.
16ALNYWAIT5.9Truist lowered PT, RSI 35.8, deep dd; strong forecasts but need base to form.
17DCBOWAIT5.61h/4h fc negative, tender offer noise; weekly fc great but short-term unclear.
18FICOWAIT5.5Big 4h/1d fc but weekly fc negative and stock trading lower on rate commentary.
19FUTUAVOID5.3DOJ probe + HK SFC asset freeze + 1wk fc -20% — too much regulatory risk.
20ONONWAIT5.2Near top of 4h/1d range (94/87), near_term_bullish only 0.2, earnings next week.
21NOWWAIT5.1Figma AI-cost read-across hit; forecasts modest, at high P/E.
22HNRGWAIT5.04h/1d fc positive but 1wk fc -42% — trend deterioration flag.
23NRGWAIT4.91wk fc -35% and Scotia lowered PT; positive short-term fc not enough.
24VERXWAIT4.8PE 548, profit margin 0.45%, 1wk fc barely positive — too speculative.
25WKWAIT4.7Near top of range (1d pos 85, 1wk 95), near_term_bullish 0 — chase risk.
26CCCWAIT4.64h pos_in_range 100 after +25% run, forecasts flat-to-negative.
27FRSHAVOID4.3Bullish_prob 0, all fc negative despite Q2 raise — tape says fade.
28KKRAVOID4.2Bullish_prob 0.4, weekly at 100% of range with negative mid/long fc.
29SRADAVOID3.8UBS downgrade, 2026 outlook cut, -16.7% on print — broken setup.
30APPAVOID3.0Just plunged 28% after revenue miss and soft guide; falling knife.

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⚠️ This AI-generated analysis is for informational purposes only and is not financial advice. Forecasts and scores are model outputs that can be wrong; markets involve substantial risk of loss. Do your own research.