Dogness (International) Corp (DOGZ) Stock Analysis — April 2026 Rating, Price, and Forecast
Company Overview — What Does Dogness (International) Corp Do?
Dogness (International) Corporation, through its subsidiaries, designs, manufactures, and sells fashionable products for dogs and cats worldwide. It provides pet leashes, pet collars, pet harnesses, and retractable leashes, as well as lanyards; gift suspenders, pet belt ribbons, laces, elastic belts, computer jacquard ribbons, and high-grade textile laces; mouth covers and pet charms; climbing hooks; and intelligent pet products, such as app-controlled pet feeders, pet water fountains, and smart pet toys, as well as pet shampoos. The company offers its products to wholesalers and retailers. Dogness (International) Corporation was founded in 2003 and is headquartered in Dongguan, the People's Republic of China. Dogness (International) Corp (DOGZ) is classified as a micro-cap stock in the Industrials sector, specifically within the Misc. industry. The company is led by CEO Si L. Chen and employs approximately 320 people. With a market capitalization of $21M, DOGZ is one of the notable companies in the Industrials sector.
Dogness (International) Corp (DOGZ) Stock Rating — Reduce (April 2026)
As of April 2026, Dogness (International) Corp receives a Reduce rating with a composite score of 31.2/100 and 2 out of 5 stars from the Blank Capital Research quantitative model.DOGZ ranks #3,561 out of 4,446 stocks in our coverage universe. Within the Industrials sector, Dogness (International) Corp ranks #612 of 752 stocks, placing it in the lower half of its Industrials peers. The rating is generated by a multi-factor model that weighs quality (30%), momentum (25%), value (15%), investment (10%), stability (10%), and short interest (10%).
DOGZ Stock Price and 52-Week Range
Dogness (International) Corp (DOGZ) currently trades at $1.30. The stock lost $0.05 (3.9%) in the most recent trading session. The 52-week high for DOGZ is $34.53, which means the stock is currently trading -96.2% from its annual peak. The 52-week low is $1.02, putting the stock 27.2% above its annual trough. Recent trading volume was 65K shares, suggesting relatively thin trading activity.
Is DOGZ Overvalued or Undervalued? — Valuation Analysis
Dogness (International) Corp (DOGZ) carries a value factor score of 22/100 in the Blank Capital model, signaling premium valuation that prices in significant future growth. The price-to-book ratio stands at 0.20x, versus the sector average of 2.23x. The price-to-sales ratio is 0.24x, compared to 0.50x for the average Industrials stock.
At current multiples, Dogness (International) Corp trades at a premium to most Industrials peers. This elevated valuation may be justified if the company can sustain above-average growth rates and profitability, but it also creates downside risk if earnings disappoint expectations.
Dogness (International) Corp Profitability — ROE, Margins, and Quality Score
Dogness (International) Corp (DOGZ) earns a quality factor score of 32/100, signaling below-average profitability metrics relative to the broader market. The return on equity (ROE) is -20.9%, compared to the Industrials sector average of 8.9%, which is below typical expectations for high-quality companies. Return on assets (ROA) comes in at -17.5% versus the sector average of 3.3%.
On a margin basis, Dogness (International) Corp reports gross margins of 24.3%, compared to 35.8% for the sector. The operating margin is -32.8% (sector: 6.2%). Net profit margin stands at -24.6%, versus 3.9% for the average Industrials stock. Profitability is below benchmark levels, which may reflect industry headwinds, elevated reinvestment, or structural challenges.
DOGZ Debt, Balance Sheet, and Financial Health
Dogness (International) Corp has a debt-to-equity ratio of 4.0%, compared to the Industrials sector average of 70.0%. The low leverage indicates a conservative balance sheet with significant financial flexibility. Total debt on the balance sheet is $4M. Cash and equivalents stand at $13M.
DOGZ has a beta of 0.37, meaning it is less volatile than the S&P 500, making it a relatively defensive holding. The stability factor score for Dogness (International) Corp is 35/100, suggesting elevated price swings that may be unsuitable for conservative portfolios.
Dogness (International) Corp Revenue and Earnings History — Quarterly Trend
In TTM 2026, Dogness (International) Corp reported revenue of $21M and earnings per share (EPS) of $-0.38. Net income for the quarter was $-5M. Gross margin was 24.3%. Operating income came in at $-7M.
In FY 2025, Dogness (International) Corp reported revenue of $21M and earnings per share (EPS) of $-0.38. Net income for the quarter was $-5M. Gross margin was 24.3%. Revenue grew 39.5% year-over-year compared to FY 2024. Operating income came in at $-7M.
In FY 2024, Dogness (International) Corp reported revenue of $15M and earnings per share (EPS) of $-0.55. Net income for the quarter was $-6M. Gross margin was 21.0%. Revenue grew -15.6% year-over-year compared to FY 2023. Operating income came in at $-8M.
In FY 2023, Dogness (International) Corp reported revenue of $18M and earnings per share (EPS) of $-0.18. Net income for the quarter was $-7M. Gross margin was 20.8%. Revenue grew -35.1% year-over-year compared to FY 2022. Operating income came in at $-10M.
Over the past 8 quarters, Dogness (International) Corp has experienced revenue contraction from $26M to $21M. Investors analyzing DOGZ stock should weigh these quarterly trends alongside the valuation and quality metrics discussed above.
DOGZ Dividend Yield and Income Analysis
Dogness (International) Corp (DOGZ) does not currently pay a dividend. This is common among smaller companies in the Misc. industry that prefer to reinvest cash flows into business expansion rather than returning capital to shareholders. Income-focused investors looking for Industrials dividend stocks may want to explore other Industrials stocks or use the stock screener to filter by dividend yield.
DOGZ Momentum and Technical Analysis Profile
Dogness (International) Corp (DOGZ) has a momentum factor score of 22/100, signaling weak relative price performance. Stocks with low momentum scores have historically tended to continue underperforming in the near term. The investment factor score is 27/100, which measures capital allocation efficiency and asset growth patterns. The short interest score of 68/100 reflects moderate short selling activity.
DOGZ vs Competitors — Industrials Sector Ranking and Peer Comparison
Within the Industrials sector, Dogness (International) Corp (DOGZ) ranks #612 out of 752 stocks based on the Blank Capital composite score. This places DOGZ in the lower half of all Industrials stocks in our coverage universe. Key competitors and sector peers include South Bow Corp (SOBO) with a score of 56.5/100, TSAKOS ENERGY NAVIGATION LTD (TEN) with a score of 61.4/100, Great Lakes Dredge & Dock CORP (GLDD) with a score of 56.7/100, Tri Pointe Homes, Inc. (TPH) with a score of 57.3/100, and Clear Channel Outdoor Holdings, Inc. (CCO) with a score of 52.2/100.
Comparing DOGZ against the S&P 500 benchmark is also instructive for understanding relative performance. Investors can view the full DOGZ vs S&P 500 (SPY) comparison to assess how Dogness (International) Corp stacks up against the broader market across all factor dimensions.
DOGZ Next Earnings Date
No upcoming earnings date has been announced for Dogness (International) Corp (DOGZ) at this time. Check the earnings calendar for the latest scheduling updates across all stocks in our coverage universe.
Should You Buy DOGZ? — Investment Thesis Summary
The quantitative profile for Dogness (International) Corp suggests caution. The quality score of 32/100 flags below-average profitability. The value score of 22/100 indicates premium valuation. Momentum is weak at 22/100, a headwind for near-term performance. High volatility (stability score 35/100) increases portfolio risk.
In summary, Dogness (International) Corp (DOGZ) earns a Reduce rating with a composite score of 31.2/100 as of April 2026. The rating is derived from the Blank Capital Research methodology, which combines six factor dimensions into a single quantitative ranking. Investors should consider these quantitative signals alongside their own fundamental research, risk tolerance, and investment time horizon before making buy or sell decisions on DOGZ stock.
Related Resources for DOGZ Investors
Explore more research and tools: DOGZ vs S&P 500 comparison, top Industrials stocks, stock screener, our methodology, quality factor explained, value factor explained, momentum factor explained. Compare DOGZ head-to-head with peers: DOGZ vs SOBO, DOGZ vs TEN, DOGZ vs GLDD.