Today’s AI Top Pick: Z
8/6/2026 · Recently Alerted Turnaround screen · a free sample of K3vl4r’s AI-curated picks.
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Zillow (Z) is the standout buy today because it uniquely combines a fresh positive catalyst, multi-timeframe forecast alignment with the strongest magnitude in the pool, and an entry that is NOT extended. The Kronos tape shows fc_long of +75.14% on 4h, +89.29% on 1d, and +98.97% on 1wk — that is by far the most aggressive multi-timeframe bullish stack in the entire candidate set, with bullish_prob = 1.0 and near_term_bullish = 0.8. Critically, price is NOT at the top of any range: pos_in_21bar_range_pct is 13.79% (4h), 38.66% (1d), and just 8.76% (1wk), with drawdowns of -12% to -31% off recent highs — you are buying into a base, not chasing a breakout. The fundamental screen thesis is intact and reinforced: PEG 0.36, fwdPe 12.07, epsNextY +31.45%, targetUpsidePct 62.2%, recom 1.6, and profitMargin 2.27% with a stable balance sheet (debtEq 0.10). The reported PE of 143 looks scary in isolation but the fwd PE compression to 12 tells you earnings are inflecting hard — exactly the setup the screen is designed to catch. Perf 1Y of -56.24% and YTD -47.08% means expectations are already washed out. The news catalyst tips this from "good chart" to "buy today." On 2026-08-05 Zillow reported Q2 and BEAT both earnings and revenue estimates, followed by an earnings call recap on 8/06. This is the exact kind of clean, unambiguous positive print that fuels turnaround rallies in a beaten-down name — and unlike FUTU (DOJ probe), SRAD (downgrade + guide cut), PRIM (fraud lawsuit), or TMDX (margins/trials/concentration warnings), Zillow has no offsetting landmine. Waiting isn't warranted: the daily and weekly forecasts are pointing to +50-100% upside over the mid/long horizon, price is sitting near the bottom of the weekly range post-selloff, and the earnings catalyst just landed. Every day you wait risks paying up as post-earnings drift kicks in. Size it accordingly and use the recent low as the invalidation.

- Housing/mortgage rate cycle: Z revenue is levered to real estate transactions; a rate spike could kill the 1wk fc_long +98.97% thesis fast.
- Valuation optics: reported PE of 143.94 and operMargin of just 0.48% mean the story depends entirely on the epsNextY +31.45% inflection actually materializing.
- Perf 1Y of -56.24% shows this is a broken chart on longer lookbacks; the -31.35% dd_from_21bar_high_pct on weekly means overhead supply is heavy above $40.
- Short float 7.62% is modest but any post-earnings gap fill could trap latecomers; use the $28.40 stop, don't 'give it room.'
- Broader market: NOW/CRM headlines on 8/06 flagged software weakness on rising AI costs — a sector-wide risk-off day could pull Z with it despite the beat.
| # | Symbol | Verdict | Score | Read |
|---|---|---|---|---|
| 1 | Z | BUY NOW | 8.9 | Q2 beat + strongest MTF forecast stack in pool (1wk fc_long +99%) with price at pos 38% daily / 9% weekly — not chasing. |
| 2 | CELH | BUY NOW | 8.3 | Deeply oversold (pos 0% every TF), 1d fc_long +68%, sales +123% YoY, Q2 print just dropped. |
| 3 | TIGR | BUY NOW | 8.0 | Clean MTF agreement (4h/1d/1wk fc_long all +60-70%), fwdPe 6.15, epsNextY +64%, no bad news. |
| 4 | MLCO | BUY NOW | 7.6 | All timeframes positive incl weekly (fc_long +47%), PEG 0.36, fwdPe 8.21, 'worst is behind us' narrative. |
| 5 | ORCL | BUY NOW | 7.3 | Best fundamentals in pool (ROE 54%, PEG 0.5, fwdPe 13, profitMargin 25%); 1d fc_long +34%, near-term 0.8. |
| 6 | RBBN | BUY NOW | 7.0 | MTF agreement across 4h/1d/1wk (fc_long +26/+38/+56%), recom 1.0, deeply oversold. |
| 7 | WING | BUY PULLBACK | 6.8 | 1d fc_long +81% and 1wk +47%, RSI 33, but pos 100% on 1h — wait for pullback to $118. |
| 8 | ALNY | BUY PULLBACK | 6.7 | 1d fc_long +50%, ROE 100.7%, sales +95%, but 1wk forecast turned negative and Truist cut PT. |
| 9 | CALX | BUY NOW | 6.5 | 4h fc_long +48%, recom 1.22, PEG 0.47, growing AI broadband deployments. |
| 10 | UBER | BUY PULLBACK | 6.3 | 1d fc_long +17%, near-term bullish 1.0, but forecasts modest vs peers. |
| 11 | TMUS | BUY PULLBACK | 6.1 | Solid fundamentals (fwdPe 12.5, ROE 18%), near-term 1.0, but forecast magnitudes small. |
| 12 | PFSI | BUY PULLBACK | 5.9 | 4h fc_long +55%, pos 4% daily oversold, but analyst PT cuts and debtEq 5.46 heavy. |
| 13 | FBRT | BUY NOW | 5.7 | MTF all green, near-term 1.0, targetUpsidePct 68.9%, but small $627M mcap. |
| 14 | BIRK | BUY PULLBACK | 5.6 | RSI 32, pos 0-2% on daily, modest fc but JPM raised PT; wait for confirmation. |
| 15 | MIR | BUY PULLBACK | 5.4 | 4h/1d fc_long +48%/+36% but weekly negative; PE 174, high risk if trend breaks. |
| 16 | NOW | WAIT | 5.2 | 1d fc_long +36% but 1h/4h forecasts turning negative and software AI-cost overhang. |
| 17 | HNRG | WAIT | 4.8 | epsNextY +473% eye-popping but 1wk fc_long -42% is a red flag. |
| 18 | NRG | WAIT | 4.7 | 1d fc_long +25% offset by 1wk fc_long -35%; conflicting signals. |
| 19 | SPOT | WAIT | 4.5 | 1wk fc_long -17% despite Q2 beat; forecast tape not confirming fundamentals. |
| 20 | KNF | WAIT | 4.3 | RSI 34, pos 0-4%, but stock dropped 12% on profit miss and forecasts modest. |
| 21 | VST | WAIT | 4.2 | 1d fc_long +16% wiped out by 1wk fc_long -45%; salesYoY -24%. |
| 22 | WK | WAIT | 4.0 | near_term_bullish 0.0 despite positive analyst view; PE 267 and pos 95% weekly = chasing. |
| 23 | HDSN | WAIT | 3.9 | Pos 97-99% on 1d/1wk — extended top of range, forecasts weak. |
| 24 | AMSC | AVOID | 3.7 | Q1 miss, 1wk fc_long -56%, price at top of yearly range (perfYtd +14% not a turnaround). |
| 25 | SDA | WAIT | 3.5 | Forecasts are absurd (+780% weekly) on an $82M mcap penny — pure lottery ticket. |
| 26 | FUTU | AVOID | 3.0 | DOJ probe + class actions + SFC asset freeze; pos 91% daily = worst-of-both-worlds. |
| 27 | PRIM | AVOID | 2.8 | Securities fraud lawsuit headline + 1wk fc_long -33%; landmine. |
| 28 | SRAD | AVOID | 2.5 | UBS downgrade, Q2 loss, 2026 guidance cut, stock down 16.7% — thesis broken. |
| 29 | TMDX | AVOID | 2.3 | Margins down, customer concentration up, trials delayed — SA explicitly negative. |
| 30 | SE | AVOID | 2.0 | bullish_prob 0.2, near_term 0.2, forecasts flat-to-negative, pos 100% weekly = extended. |
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