DD
DuPont de NemoursANYSE / Materials
Last Price
At close
2026-06-02
Current thesis
The strongest post-earnings read-through is that DuPont both beat its own Q1 setup and raised full-year guidance, with management citing organic growth, margin expansion, lower interest expense, and pricing actions to offset higher input costs tied to the Middle East conflict [#8-K-2026-05-05]. Immediate market reaction was favorable, and secondary coverage suggests a positive initial tone after the print, but the available packet does not provide enough confirmed analyst-revision breadth for a stronger call.
Posture
Constructive
Lead driver
Momentum
What changed
3 setup hits (3d) with net bullish as of 2026-06-03.
What can break
Building Technologies organic sales were down low-single digits because of ongoing weakness in construction markets [#8-K-2026-05-05].
Momentum
67
Value
61
Sentiment
59
Setup hits (3d)
3 · Net Bullish
AI TargetsBase $55.00 · Bull $60.00 · Bear $43.00
Data freshness
Prices
As of 2026-06-02
Fundamentals
As of 2026-06-02 • Vendor: Data Vendor v1
Scores
As of 2026-06-02 • Model: HYBRID_IC_RP
AI Memo
As of 2026-05-08 • Model: RankAlpha Sentiment Codex
Investment thesisAs of 2026-06-02
Investment thesis
As of 2026-06-02
Supporting evidence
What
Grade A · Constructive
Confidence Medium · Net Bullish
Target $56.13
Why
Momentum67 · Δ7d -1.6
Value61 · Δ7d +0.6
Sentiment59 · Δ7d +4.5
So what
Strength-led posture (Net Bullish). Favor watchlist adds and disciplined entries.
Lead driver: Momentum · See technicals
Momentum
67
34% active weight
Current posture
7d trendSoftening
Δ7d
-1.6
Δ21d
+8.7
Value
61
32% active weight
Current posture
7d trendFlat
Δ7d
+0.6
Δ21d
+1.3
Sentiment
59
33% active weight
Current posture
7d trendImproving
Δ7d
+4.5
Δ21d
+15.0
Why this grade
Composite grade A. Momentum 66.6 / Value 60.8 / Sentiment 59.4
Fundamentals (TTM)As of 2026-06-02
Fundamentals (TTM)
As of 2026-06-02
Market Cap
$19.95B
Beta
1.08
Shares Out
418.98M
P/E (TTM)
239.7
P/S (TTM)
1.41
P/FCF (TTM)
30.24
Rev YoY
+7.3%
EPS YoY
-34.0%
Gross Margin
+37.7%
Op Margin
+5.6%
Net Debt
$5.32B
Current Ratio
2.00
As of 2026-06-02 • Updated nightlySource: Internal modelMethodology

