Today’s AI Top Pick: Z

8/6/2026 · Reliable Bullish screen · a free sample of K3vl4r’s AI-curated picks.

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Today's pick · Reliable BullishZBUY NOW8.7 / 108/6/2026

Zillow (Z) is the cleanest 'oversold-but-turning-with-a-catalyst' setup in this pool. The company just BEAT Q2 earnings and revenue estimates (Aug 5 headlines), yet the stock is still sitting near the floor of every recent range: position_in_21bar_range is 9.96% on 4h, 35.67% on 1d, and just 7.52% on the weekly. Weekly drawdown is -31.78% and the stock is -47% YTD / -56% one year — this is a beaten-down name where the earnings binary just resolved to the upside, meaning the biggest 'wait for the print' overhang is gone. That is precisely why TODAY, not next week, is the entry. The multi-timeframe forecast tape confirms across every horizon: 4h fc_short/mid/long +49.3/+57.5/+76.2, 1d +20.0/+68.4/+90.5, 1wk +14.2/+83.7/+100.2. Every single forecast is positive, and the magnitudes actually EXPAND at longer horizons — the model is not just predicting a bounce, it is calling a structural mean-reversion. Bullish_prob = 1.0 and near_term_bullish = 0.8. Combined with a sub-10% weekly range position, you are buying strength that has not yet run. Fundamentals pass the screen: fundamental_score 8, fwdPe of just 12.07 vs a trailing 143 (i.e. earnings are inflecting hard), peg 0.36, salesYoY +16.8%, epsNextY +31.45, debtEq 0.10, gross margin 73.3%, analyst recom 2.0 and targetUpside +62.2%. The story is a re-rating on realized earnings growth rather than a fresh momentum chase. Why Z over ZTS/MNSO/BILI: ZTS has larger raw forecast magnitudes but its earnings are STILL AHEAD (binary landmine), and Zoetis's 0/0/0 range position reflects post-drop capitulation with unresolved catalyst risk. MNSO and BILI have clean tapes but weaker forecast magnitudes and no fresh positive catalyst. INTU was downgraded by Truist yesterday — screen-good, headline-bad, exactly the kind of setup the instructions tell us to fade. FUTU has a live DOJ probe headline. Z is the intersection of clean forecast, oversold range, resolved earnings, and no landmine.

Z forecast chart
Entry zone
$31.50 – $32.50 (current $31.97, buy on any intraday softness; add on a reclaim of $33)
Stop loss
$28.20 (below the recent weekly-range low and the -12% 4h drawdown floor; roughly -12% risk)
First target
$38.00 (aligns with 4h fc_mid +57% path and reclaim of prior consolidation shelf; ~+19%)
Longer target
$48–$52 (aligns with 1d fc_long +90% / 1wk fc_long +100%, analyst-target upside of +62%; swing horizon 3–6 months)
Risks
  • Trailing PE 143 means the stock is expensive on realized earnings; a broader multiple compression in ad/media/proptech could stall the re-rate despite the Q2 beat
  • Operating margin is razor-thin at 0.48% and profit margin 2.27% — any macro housing weakness immediately shows up in earnings quality
  • 1wk drawdown -31.78% shows the longer-term downtrend is not yet broken; a failed reclaim of the 4h range high (~$36-37) would confirm the bounce was a lower high
  • Short float 7.62% is elevated — good for squeezes but also signals institutional skepticism about the housing/proptech thesis
  • Post-earnings drift can fade if guidance details were mixed; watch for follow-through volume on any move above $34
Honorable mentions
ZTSExtreme oversold (position 0/0/0 across 4h/1d/1wk), monster 1wk forecast +136.8% long / +99.75% mid, near_term_bullish 1.0, Burry position and OA pipeline catalyst — but Q2 earnings are still AHEAD, which is a binary I'd rather buy the reaction to than pre-position into. BUY_PULLBACK or buy post-print.
MNSOBest pure fundamentals in the pool (peg 0.16, fwdPe 7.69, recom 1.17, salesYoY +30.5%, profit margin 9.06%), near_term_bullish 1.0, all TFs positive, 1wk range position only 18.7%. Slight lag on forecast magnitude and no fresh catalyst keep it at #3.
Full ranking (30)
#SymbolVerdictScoreRead
1ZBUY NOW8.7Just beat Q2, still at 7.5% of weekly range, every timeframe forecast positive with 1wk long +100% — cleanest oversold-with-catalyst setup.
2ZTSBUY PULLBACK8.3Extremely oversold (0/0/0 range), massive weekly forecasts +99.75/+136.8, but Q2 earnings still ahead — wait for the print.
3MNSOBUY NOW8.1Best fundamentals in pool (peg 0.16, recom 1.17), all TFs green, near_term 1.0, weekly range position only 18.7%.
4BILIBUY NOW7.8Multi-TF alignment with near_term 1.0, weekly range 24%, peg 0.54, positive SeekingAlpha preview into 2Q print.
5WAYBUY NOW7.6Fresh Zacks upgrade to Buy, all TFs positive, 1wk fc_long +48%, recom 1.16.
6PDDBUY PULLBACK7.4Clean tape (1d pos 85%, DD only -1.34%) but too extended intraday; 1wk fc_long +26.98% supports pullback buys.
7TMEBUY NOW7.2Big forecast magnitudes (1d fc_long +76.4%), profit margin 26.47%, targetUpside +50.6%, earnings catalyst next week.
8ADSKBUY PULLBACK7.0Near_term 1.0 and all TFs green, but 4h range position 93.7% — chasing risk; wait for a dip to $225.
9TRMBBUY PULLBACK6.9All TFs positive, near_term 0.8, but 1d range position 87% ahead of earnings — post-print entry better.
10PEGABUY NOW6.8Deep oversold (1wk DD -27%), fc_mid +50%/+50%, ROE 54.7%, but 17.79% short float is a two-way risk.
11FISBUY NOW6.7Cheap (fwdPe 6.37), 1wk fc_long +68%, positive Digital One product launch news, weekly DD -13%.
12BRBUY PULLBACK6.6RBC price target raise and Q4 beat, but 4h/1d range position >80% — extended into strength.
13KMPRBUY PULLBACK6.5Big weekly forecast (+84.5% long) and target upside +74%, but revenue miss on Q2 and near_term only 0.2.
14MLCOBUY NOW6.4All TFs positive, peg 0.36, 1wk fc_long +47%, weekly range position only 31%.
15FIGRWAIT6.3Overweight coverage and 4h fc_long +44.5%, but no bullish_prob data, weekly TF missing, thin history.
16TIGRBUY PULLBACK6.2Huge forecasts (1d fc_long +59.5%), salesYoY +48%, but 4h range position 93% — wait for dip.
17STNBUY PULLBACK6.11d fc_long +28.2%, recom 1.31, but 1d at 100% range and 1wk fc slightly negative.
18ACMBUY PULLBACK6.0Nice airport-design catalysts and 1d fc_mid +31.75%, but 1d range position 89.7% is extended.
19EXEWAIT5.91h/4h fc_short negative and 1wk fc negative — near-term tape rolling despite fundamentals.
20SPROAVOID5.6Micro-cap $73M, weekly forecasts NEGATIVE (-21.67/-31.83/-23.8), -46% 21-bar drop — broken chart.
21FUTUWAIT5.5Strong forecasts but active DOJ probe and Hong Kong SFC asset-freeze headlines — landmine risk.
22GDDYBUY PULLBACK5.4Multi-TF green and targetUpside only 14%; debtEq 573 flags balance-sheet risk.
23NICEBUY PULLBACK5.3Cheap (fwdPe 7.81) with 1wk fc_long +71.79%, but near_term only 0.4 and post-earnings drift unclear.
24NOWWAIT5.11h/4h forecasts turning negative, hit by Figma AI-cost headline, targetUpside only 19.9%.
25VERXWAIT4.9PE 549 and operMargin 0.14% — screen artifact; weekly forecasts flat-to-negative.
26ONONWAIT4.8Near_term only 0.2 and forecasts tepid (1wk fc_short -0.23) heading into earnings — no edge here.
27FINVWAIT4.7Cheap on paper but near_term 0.2 and small forecast magnitudes; nothing pulling it higher today.
28CCCAVOID4.5RSI 67.84, at 100% of every range, 4h fc_mid NEGATIVE — classic top-of-range chase risk.
29INTUAVOID4.2Truist downgrade to Hold with $350 PT cut is a fresh negative catalyst directly undercutting the screen.
30QTWOAVOID3.8bullish_prob 0, RSI 72.86, at 100% of weekly range, 4h fc_short -12.75% — broken from a signal standpoint.

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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.