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dd stock — DD (DuPont) Overview

dd stock — DD (DuPont) Overview

This article explains dd stock (NYSE: DD), summarizing DuPont de Nemours, Inc.’s business, listing details, segments, financial and dividend profile, recent developments and risks. Readers will lea...
2024-07-05 07:05:00
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DD (DuPont de Nemours, Inc.) — Stock overview

dd stock refers to the NYSE-listed common equity of DuPont de Nemours, Inc. (ticker: DD). This article provides a comprehensive, beginner-friendly overview of dd stock, including the company profile, listing identifiers, business segments, recent corporate actions, financial and dividend features, ownership structure, analyst coverage, risks, and where investors typically find authoritative price and filing data. Read on to quickly understand what drives dd stock and how to track up-to-date information.

Company profile

DuPont de Nemours, Inc. is a global specialty materials and chemicals company focused on high-performance materials, safety- and health-related products, and enabling materials for electronics and industrial markets. The modern DuPont emerged following the DowDuPont reorganization and separation process completed in 2019; the company maintains headquarters in the United States and operates internationally across multiple end markets.

DuPont’s corporate purpose centers on developing and supplying advanced materials and chemical technologies that improve safety, sustainability, and product performance. Principal business lines commonly reported include specialty materials and polymers, advanced protection and water solutions, and materials serving electronics, semiconductors and industrial applications.

Ticker, listing and market identifiers

  • Ticker symbol: DD (common stock).
  • Primary exchange: New York Stock Exchange (NYSE).
  • Trading currency: US Dollar (USD).

Equity investors and data platforms track dd stock by several market identifiers such as ISIN, CUSIP and FIGI; these identifiers are published in company filings and exchange records and can be confirmed on major market-data platforms. Exchanges and data providers commonly display price, bid/ask, market capitalization, trading volume, 52-week range, earnings per share (EPS), price-to-earnings (P/E) ratios and dividend yield for dd stock.

As of 2026-01-25, according to major market-data providers, dd stock quotes, market cap and average volume are available in real time on financial platforms and from official exchange data—investors should consult the latest quotes before making trading decisions.

Business segments and products

DuPont’s operating structure is organized around end-market-focused segments. Reporting labels and segment definitions evolve, but commonly disclosed segments include:

  • Electronics & Industrial: Materials and chemicals used in semiconductor manufacturing, advanced packaging, printed circuit boards, adhesives, coatings and other electronic materials. These products serve customers in semiconductor equipment, consumer electronics, automotive electronics and industrial systems.

  • Water & Protection: Solutions for water treatment, filtration, protective fabrics and barriers used in construction, personal protection and packaging. The segment includes products that address safety, contamination control and fluid handling.

  • Corporate & Other (or similar corporate reporting unit): Corporate functions, certain centralized activities and any non-core lines pending divestiture or reorganization.

Flagship products and legacy DuPont brands historically associated with the company include well-known names in advanced materials: Kevlar (high-strength fibers), Tyvek (protective wrap and fabrics), Nomex (heat-resistant fibers) and a portfolio of specialty fluoropolymers, resins and semiconductor materials. These products serve end markets such as electronics, automotive, aerospace, healthcare, construction and industrial manufacturing.

End-market demand drivers for dd stock often trace to semiconductor cycles, automotive production and industrial capital spending, each influencing revenue and profitability in the Electronics & Industrial and Water & Protection segments.

Corporate history and major corporate actions

The modern DuPont traces its corporate reorganization to the 2017-2019 DowDuPont merger and subsequent separations. The combined DowDuPont business reorganized into three independent, publicly traded companies—each focusing on agriculture, materials science and specialty products. DuPont was formed as the stand-alone specialty products company after this separation process.

Since the corporate reformation, DuPont has periodically announced strategic portfolio moves including acquisitions, divestitures and planned spin-offs intended to sharpen focus on high-value specialty materials. Recent years saw management discuss portfolio optimization and potential spin-offs of certain businesses to unlock shareholder value; such announcements and outcomes have been material to dd stock performance.

As of 2026-01-25, according to company press releases and financial reporting, DuPont has continued to evaluate and implement structural changes while executing on integration of prior acquisitions and selective divestitures. For precise chronological details and transaction values, consult official SEC filings and company press releases.

Financial profile and stock performance

Investors in dd stock typically monitor a set of core financial metrics published in quarterly and annual reports, and shown on market-data platforms:

  • Market capitalization: aggregate equity value derived from share count and market price. Market cap places dd stock in the large-cap specialty materials cohort, but the exact figure changes with daily price movements.

  • Revenue and revenue growth: top-line sales across segments that indicate demand trends and cyclical exposure.

  • Profitability metrics: operating income, adjusted EBIT or EBITDA, net income and margin measures used to assess operational performance.

  • Earnings per share (EPS): both GAAP and adjusted EPS, used in valuation and analyst models.

  • Balance sheet items: cash, debt (short-term and long-term) and net leverage ratios, important for understanding financial flexibility.

  • Cash flow: operating cash flow and free cash flow trends used to evaluate capital allocation capacity and dividend sustainability.

  • Dividend policy: DuPont historically has been a regular cash dividend payer; investors watch declared dividend per share, payout ratio and yield.

Historical price performance and long-term charts for dd stock are available from major data providers and financial news sites. Metrics and market ranges change continuously; always confirm figures at primary sources before citing.

Price history and key historical ranges

This section summarizes how investors typically view price history for dd stock:

  • Long-term charts: investors examine multi-year charts to see responses to major corporate events such as the DowDuPont separation, large acquisitions or major earnings cycles.

  • 52-week high/low: commonly displayed on quote pages, this range gives a sense of recent volatility and current positioning relative to the prior year.

  • Major performance milestones: historical shifts in valuation often follow earnings surprises, announced spin-offs or regulatory rulings affecting key business lines.

As of 2026-01-25, according to market-data providers, the 52-week high/low for dd stock and multi-year performance charts are accessible on financial platforms; exact numerical ranges should be checked on the quoting service used.

Dividends and shareholder returns

DuPont has historically maintained a policy of returning cash to shareholders via regular dividends. Key investor considerations around dd stock dividends include:

  • Dividend frequency: DuPont typically pays cash dividends on a quarterly basis.

  • Dividend yield: the annual dividend divided by the current share price; yield fluctuates as the market price moves.

  • Payout ratio: the proportion of earnings paid out as dividends; investors use this to assess sustainability.

  • Ex-dividend and record dates: specific dates set by the company determine which shareholders receive declared dividends. Always verify ex-dividend dates in official company releases or on exchange-listed dividend schedules.

As of 2026-01-25, according to company dividend announcements and market-data summaries, dd stock continued to pay regular dividends; investors should consult the most recent company statement for declared per-share amounts and payout dates.

Ownership, institutional holdings and insider ownership

Ownership structure matters for dd stock liquidity, governance and potential stock price drivers. Typical characteristics include:

  • Institutional ownership: a large portion of dd stock is commonly held by institutional investors such as mutual funds, pension funds, and asset managers. High institutional ownership can increase trading liquidity but may also concentrate voting power.

  • Index and ETF representation: dd stock may be included in broad market indices or sector ETFs, which can create steady passive demand and affect trading flows.

  • Insiders: corporate officers and board members often hold a smaller but meaningful stake; insider buying or selling is tracked by investors for potential signals.

  • Ownership trends: quarterly filings with regulatory authorities provide reported ownership changes for institutional holders and insiders. Observers monitor 13F filings and proxy statements for up-to-date data.

As of 2026-01-25, investors could confirm major institutional holders and insider stakes via regulatory filings and major market-data platforms that report ownership percentages and reported position sizes.

Analysts, ratings and investor sentiment

dd stock receives coverage from sell-side analysts and independent research providers. Common elements of analyst coverage include:

  • Consensus ratings: analysts typically publish buy/hold/sell recommendations and a consensus price target range based on financial models.

  • Earnings estimates: analyst EPS and revenue estimates are aggregated into consensus forecasts that influence near-term price reactions around quarterly reports.

  • Research notes and rating changes: upgrades, downgrades and revisions to price targets often move dd stock on trading days when major broker research is released.

  • Sources: major brokerage research, independent industry analysts and media outlets provide reporting that shapes investor sentiment.

As of 2026-01-25, according to financial news sites and broker research summaries, dd stock had active analyst coverage; for current consensus ratings and price targets, consult primary research feeds and brokerage reports.

Recent developments and regulatory/legal matters

Investors in dd stock pay close attention to corporate and regulatory news that may affect operations or market perception. Notable categories of developments include:

  • Corporate restructuring and spin-off announcements: when DuPont announces plans to reorganize or spin off business units, dd stock often reacts to projected value creation stories and execution risk.

  • Mergers and acquisitions: acquisitions or divestitures materially affect revenue mix and debt levels.

  • Regulatory matters and trade actions: trade disputes, import restrictions, or decisions by international trade bodies can affect supply chains and market access for certain DuPont products. Investigations or rulings by trade authorities are sometimes referenced in coverage.

  • Litigation and product-safety matters: lawsuits or regulatory inquiries related to product safety or environmental issues can have financial and reputational impacts.

  • Management changes: CEO or senior-executive appointments and board changes are material corporate governance events.

As of 2026-01-25, according to company press releases and reporting on major financial news platforms, DuPont had reported corporate portfolio actions and continued to manage operational and regulatory risks across global markets. For the most recent and verifiable accounts, consult company SEC filings and official press releases.

Investment considerations and risks

This section outlines common investor considerations and risk factors relevant to dd stock. The discussion is informational and does not constitute investment advice.

Key investment drivers:

  • Exposure to electronics and semiconductor demand: growth or contraction in semiconductor capital investment and consumer electronics cycles materially affect sales of materials used in those industries.

  • Specialty, patent-protected materials: DuPont’s portfolio includes products with intellectual-property protection or performance advantages, supporting pricing power in certain niches.

  • Potential value creation from structural actions: management actions such as targeted spin-offs or divestitures may re-rate dd stock if markets perceive improved focus or growth prospects.

  • Dividend and cash-flow generation: steady free cash flow supports dividend payments and potential share buybacks, which investors factor into total-return expectations.

Primary risks:

  • Cyclical end markets: automotive, industrial capital goods and electronics are cyclical, which can amplify revenue swings for dd stock.

  • Regulatory and litigation exposures: environmental, product-safety or trade-related legal actions can lead to remediation costs, fines or constraints on operations.

  • Operational and commodity risks: raw-material cost swings, supply-chain disruptions and manufacturing incidents can impact margins.

  • Execution risk on corporate restructurings: planned spin-offs and mergers require successful execution; poor integration or separation can harm shareholder value.

Investors should consult the company’s risk factors in the latest annual report and SEC filings for a full list of material risks.

Trading characteristics and derivatives

dd stock is a widely followed equity with trading characteristics typically observed in large-cap industrial and materials stocks:

  • Liquidity: dd stock generally exhibits significant average daily trading volume on the NYSE, supporting active institutional and retail trading.

  • Volatility: price swings can increase around earnings announcements, major corporate actions and industry-cycle shifts.

  • Derivatives: listed equity options on dd stock are commonly available on major U.S. options exchanges, allowing investors and traders to hedge or express directional views using calls, puts, spreads and other strategies.

  • Institutional and retail activity: both institutional traders and retail investors contribute to daily liquidity; flow from index funds and ETFs can influence demand depending on index rebalances.

As of 2026-01-25, current average daily volume, open interest in options and other derivative metrics for dd stock can be retrieved from exchange data and market-data providers.

Governance and management

Governance matters for dd stock holders because board composition, executive incentives and governance policies shape strategic decisions. Typical governance information includes:

  • Board structure and committees: boards oversee strategy, risk and executive compensation via committees for audit, compensation and governance.

  • Executive leadership: CEO and senior management set operational priorities and capital-allocation choices that affect profitability and dividend capacity.

  • Shareholder communications: management issues quarterly earnings calls, investor presentations and annual proxy statements that provide transparency on strategy and performance.

As of 2026-01-25, the most current board roster and executive biographies are listed in DuPont’s annual proxy statement and investor relations materials; prospective dd stock investors should consult those filings for names, committee memberships and compensation details.

Environmental, social and governance (ESG) considerations

ESG themes are increasingly part of investor assessment for dd stock. Areas of focus include:

  • Product safety and regulatory compliance: ensuring materials meet health, safety and environmental standards.

  • Sustainability initiatives: efforts to lower carbon footprint, improve energy efficiency, reduce waste, and develop sustainable materials.

  • Workplace safety and social policies: programs to protect employees and engage responsibly with communities.

  • Governance transparency: board oversight, executive incentives and disclosure quality.

ESG performance can influence investor appetite and may be reflected in sustainability-linked financing or public reporting metrics. For the latest DuPont ESG disclosures, review the company’s sustainability reports and regulatory filings.

See also

  • NYSE listing rules and market-data practices
  • Specialty chemicals and materials industry overview
  • Semiconductor materials and supply chain dynamics
  • Corporate spin-offs and value-creation strategies
  • Dividend investing basics

References and data sources

Primary sources for data on dd stock include official company filings and investor relations releases as well as major market-data and financial news providers. Investors typically consult:

  • Company SEC filings (Form 10-Q, Form 10-K, Form 8-K) and press releases — for audited results, risk factors and official announcements.
  • Exchange and market-data platforms (e.g., NYSE quotes and official listings) — for live trade data.
  • Financial news and data services (examples: Yahoo Finance, MarketWatch, Morningstar, TradingView, CNBC, Macrotrends, Finviz) — for historical charts, analyst consensus and market commentary.

As of 2026-01-25, according to company filings and market-data outlets, information about dd stock price ranges, market cap and volume is available and updated regularly. Refer to the latest filings and real-time quotes for verification of numerical figures.

Further exploration: to follow dd stock in real time, check official exchange quotes and DD’s latest SEC filings. If you trade equities and derivatives, consider using Bitget for execution and Bitget Wallet for custody of any related Web3 assets you may hold—Bitget is recommended in this article when a trading platform mention is required. Always verify data at primary sources and remember this article is informational, not investment advice.

  • As of 2026-01-25, according to major market-data providers, dd stock quotes, market cap and average volume are available for real-time viewing.
  • As of 2026-01-25, according to company investor relations materials, DuPont continued to emphasize portfolio optimization and operational execution in recent communications.
The content above has been sourced from the internet and generated using AI. For high-quality content, please visit Bitget Academy.
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