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DDDD

$40.79

+0.39
arrow_drop_up0.97%
Current Market·update12 Nov 2025 21:00

$40.24

-0.56
arrow_drop_down1.37%
Pre-market·update13 Nov 2025 13:47
Day's Range
40.545-41.23
52-week Range
22.497908-41.23

Chart

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Performance

Key Stats

Next Earnings Date2025-11-06
Next Earnings TimeBefore Market Open
Volume4.11M
Average Volume 30d7.59M

AI DD Summary

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2493.33
Valuation (P/E Ratio)
Very High PE, suggesting premium valuation or growth expectations.
📈
0.03
EPS Growth (YoY)
EPS is $0.03 (TTM). Growth comparison requires historical data beyond provided JSON.
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AI Scoreboard

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Overall Analysis

Buy
72

DuPont de Nemours (DD) presents a mixed investment profile. Fundamentally, it shows strong profitability and a manageable debt structure, supported by its diverse industrial and electronics segments. However, recent financial performance indicates some headwinds and a higher valuation, while technical indicators suggest a short-term bearish sentiment. The stock is well-positioned for long-term investors interested in specialty materials and industrial innovation.

Neutral to Positive

Thematic

70

DuPont operates in sectors with varying thematic drivers. Its role in electronics (semiconductors, advanced packaging) aligns with growth in digital technologies. Its industrial segments cater to infrastructure, automotive, and safety, which are subject to broader economic cycles. While not a pure-play tech company, its materials are essential components in many growth areas.

Neutral to Strong

Fundamental

75

DuPont demonstrates solid financial footing with positive revenue trends and consistent dividend payments. However, recent quarterly results and a high P/E ratio based on TTM earnings suggest valuation concerns and potential for near-term volatility. The company's diversified business segments contribute to resilience, but the impact of the electronics business on overall profitability is key.

Bearish to Neutral

Technical

62

Current technical indicators suggest a short-term bearish trend. The stock has experienced a recent price decline, trading below key short-term moving averages, and momentum oscillators indicate downward pressure. Support levels need to be monitored, and a break above key resistance would be needed to signal a reversal.

FactorScore
Semiconductor & Electronics Materials80
Industrial Automation & Efficiency75
Sustainability & Green Technologies70
Automotive & Transportation70
Printing & Packaging65
FactorScore
Valuation30
Profitability40
Growth65
Balance Sheet Health80
Cash Flow75
Dividend70
FactorScore
Trend Analysis45
Momentum60
Volume Confirmation50
Support & Resistance55
Short-term Oscillators40

AI Investing Checklist

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Bullish Points (7)

Financial Health & Liquidity chevron_right

Strong Current Financial Position

The company exhibits a solid current ratio of 1.33 ($6.364B in current assets / $4.801B in current liabilities) and a healthy current ratio of 1.33 on a quarterly basis, indicating a strong ability to meet short-term obligations.

Valuation chevron_right

Attractive Forward P/E Ratio

The forward P/E ratio for 2025 is estimated to be 52.7, which, while high, suggests potential for significant earnings growth to justify the valuation, especially when considering the positive earnings surprises in recent quarters.

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Bearish Points (7)

Valuation chevron_right

High Trailing P/E Ratio

The trailing twelve months (TTM) P/E ratio of 2493.33 is exceptionally high, and the P/E ratio of -123.7 for TTM net income of -$253 million indicates current unprofitability on a TTM basis, suggesting a high valuation that may not be supported by current earnings.

Earnings Performance chevron_right

Recent Net Losses

The company reported negative net income of -$589 million in Q1 2025 and -$118 million in Q4 2024, indicating a recent downturn in profitability that deviates from the positive earnings in prior periods.

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Calendar

August 2025

5

Next Earnings Date

EPS Est.
Revenue Est.

H: $1.09

A: $1.06

L: $1.05

H: 3.31B

A: 3.24B

L: 3.20B

August 2025

29

Ex-Dividend Date

September 2025

15

Next Dividend Date

Profile

Websitedupont.com
Employees (FY)24K
ISIN-
FIGI-

DuPont de Nemours, Inc. provides technology-based materials and solutions in the United States, Canada, the Asia Pacific, Latin America, Europe, the Middle East, and Africa. It operates through two segments, ElectronicsCo and IndustrialsCo. The company supplies materials and solutions for the fabrication of semiconductors and integrated circuits. It also provides semiconductor and advanced packaging materials; dielectric and metallization solutions for chip packaging; silicones for light emitting diode packaging and semiconductor applications; and permanent and process chemistries for the fabrication of printed circuit boards to include laminates and substrates, and electroless and electrolytic metallization solutions, and electromagnetic shielding and thermal management solutions, as well as patterning solutions, and materials and metallization processes for metal finishing, decorative, and industrial applications. In addition, it offers various materials to manufacture rigid and flexible displays for organic light emitting diode, and other display applications; provides high performance parts, and specialty silicone elastomers, and lubricants to automotive, aerospace, electronics, industrial, and healthcare markets; and photopolymer plates and platemaking systems used in flexographic printing, and digital inks for textile, commercial, and home-office printing applications. Further, the company provides engineered products and integrated systems for worker safety, water purification and separation, transportation, energy, medical packaging and building materials. Additionally, it offers auto adhesives and fluids; Multibase; and Tedlar products. The company was formerly known as DowDuPont Inc. and changed its name to DuPont de Nemours, Inc. in June 2019. DuPont de Nemours, Inc. was incorporated in 2015 and is headquartered in Wilmington, Delaware.

Seasonals

2025
2024
2023
2022
2021

Price Target

87.63 USD

The 39 analysts offering 1 year price forecasts for DD have a max estimate of 113.00 and a min estimate of 47.00.

Debt Level and Coverage

Debt
Free cash flow
Cash & equivalents

Financial Position Analysis

Assets
Liabilities

Ownership

Free Float shares
417M (99.67%)
Closely held shares
1.36M (0.33%)
418M
Free Float shares
417M (99.67%)
Closely held shares
1.36M (0.33%)

Capital Structure

Market cap
31.3B
Debt
7.17B
Minority interest
0.00
Cash & equivalents
1.85B
Enterprise value
36.62B

Valuation - Summary

Market Cap
31.3B
Net income
-253M(-0.81%)
Revenue
9.35B(29.87%)
31.3B
Market Cap
31.3B
Net income
-253M(-0.81%)
Revenue
9.35B(29.87%)
Price to earning ratio (P/E)-123.70x
Price to sales ratio (P/S)3.30x

Valuation - Ratios

P/E
P/S

Revenue to Profit Conversion

Revenue
12.39B
COGS
7.88B
Gross Profit
4.51B
OpEx
2.68B
Operating Income
1.83B
Other & Taxes
1.13B
Net Income
703M

Balance Sheet

Total assets
Total liabilities
Liabilities to assets %

Income Statement

Revenue
Net Income
Net Margin

Cash Flow

Operating Cash Flow
Investing Cash Flow
Financing Cash Flow
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