$6.03-0.21 (-3.37%)
Designer Brands Inc., together with its subsidiaries, engages in the design, production, and retailing of footwear and accessories in the United States, Canada, and internationally.
Designer Brands Inc. in the Consumer Cyclical sector is trading at $6.03 with a market capitalization of $339M. Wall Street consensus targets $7.75 (2 analysts), implying a +28.5% move over the next 12 months. The stock is currently 34% below its 52-week high of $9.17, remaining 1.7% above its 200-day moving average. On fundamentals, Piotroski 5/9 shows mixed financial quality, Altman Z in the distress zone. Risk note: RSI 20 is oversold, raising the odds of a near-term bounce. The Whystock Score of 95/100 reflects bullish alignment across trend, valuation and analyst targets.
| Metric (USD) | Q1 2026 | Q4 2025 | Q3 2025 | Q2 2025 | Q1 2025 |
|---|---|---|---|---|---|
| Total Revenue | $713.59Mβ | $752.41Mβ | $739.76Mβ | $686.91Mβ | $713.57M |
| Gross Profit | $302.71Mβ | $339.62Mβ | $322.93Mβ | $295.13Mβ | $540.53M |
| Operating Income | -$17.14Mβ | $39.56Mβ | $25.47Mβ | -$6.74Mβ | -$29.40M |
| Net Income | -$19.99Mβ | $18.21Mβ | $10.83Mβ | -$17.42Mβ | -$38.17M |
Designer Brands Inc., together with its subsidiaries, engages in the design, production, and retailing of footwear and accessories in the United States, Canada, and internationally. It operates through two segments: Retail and Brand Portfolio. The co...
GAP is leveraging AI, data analytics and strategic partnerships to personalize marketing, boost engagement and support long-term growth.
Hollister's teen appeal, agile inventory strategy and targeted campaigns help ANF strengthen a key brand despite regional headwinds.
Small-cap retail apparel and shoes stocks are rallying in 2026. Five stocks, GCO, DBI, SFIX, TLYS and FOSL, stand out for a stable portfolio.
DBI's first-quarter call spotlights margin gains, cleaner inventory and stronger earnings power, with 2026 EPS now trending toward the high end of guidance.
DBI beats Q1 earnings and sales estimates, with margin gains and Brand Portfolio growth, yet shares sink 21% on soft demand.