US Stock MarketDetailed Quotes

DD DuPont

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  • 82.940
  • -0.780-0.93%
Close Dec 3 16:00 ET
34.67BMarket Cap43.20P/E (TTM)

DuPont Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-0.41%737M
31.75%527M
21.73%493M
75.42%2.19B
249.19%646M
28.03%740M
44.40%400M
93.78%405M
-32.34%1.25B
-0.54%185M
Net income from continuing operations
64.95%480M
-34.57%176M
-32.97%183M
-49.76%533M
-385.71%-300M
-18.94%291M
202.25%269M
-46.26%273M
-12.10%1.06B
102.07%105M
Operating gains losses
-1,068.75%-155M
787.50%55M
-16.67%-7M
180.00%32M
-33.33%30M
300.00%16M
91.75%-8M
-130.00%-6M
74.36%-40M
-99.10%45M
Depreciation and amortization
4.08%306M
5.67%298M
5.05%291M
1.06%1.15B
7.30%294M
3.89%294M
19.49%282M
-19.01%277M
2.07%1.14B
1,422.22%274M
Deferred tax
-46.67%-22M
-160.00%-52M
-160.00%-13M
-142.68%-381M
-933.33%-341M
76.92%-15M
-110.36%-20M
98.02%-5M
37.70%-157M
52.86%-33M
Other non cash items
75.00%-1M
0.00%46M
100.00%40M
100.95%211M
313.89%149M
76.47%-4M
342.11%46M
-80.95%20M
-36.36%105M
-50.00%36M
Change In working capital
-18.35%129M
102.37%4M
99.35%-1M
81.87%-155M
104.13%10M
507.69%158M
-35.20%-169M
70.04%-154M
-271.74%-855M
-197.58%-242M
-Change in receivables
-250.00%-21M
-388.89%-78M
-225.42%-74M
355.70%202M
-33.33%102M
125.93%14M
-64.47%27M
123.23%59M
77.17%-79M
188.68%153M
-Change in inventory
-126.09%-24M
-103.66%-3M
64.10%-42M
205.58%227M
65.05%170M
396.77%92M
920.00%82M
57.76%-117M
13.31%-215M
-61.42%103M
-Change in payables and accrued expense
81.82%-12M
142.55%40M
370.97%84M
-124.64%-310M
30.00%-119M
-3.13%-66M
54.81%-94M
-110.20%-31M
-162.44%-138M
-7.59%-170M
-Change in other working capital
57.63%186M
124.46%45M
147.69%31M
35.22%-274M
56.40%-143M
-32.57%118M
-1,182.35%-184M
77.35%-65M
-395.80%-423M
-481.40%-328M
Cash from discontinued investing activities
58.70%-273M
-251.95%-661M
Operating cash flow
-0.41%737M
31.75%527M
21.73%493M
226.19%1.92B
178.36%373M
28.03%740M
44.40%400M
93.78%405M
-74.22%588M
-176.65%-476M
Investing cash flow
Cash flow from continuing investing activities
77.38%-423M
-108.33%-100M
19.20%-202M
-98.09%172M
-88.05%1.09B
-2,297.44%-1.87B
574.72%1.2B
-9.17%-250M
491.82%9B
2,028.90%9.13B
Capital expenditure reported
8.40%-109M
17.07%-102M
10.78%-207M
6.50%-619M
9.38%-145M
23.23%-119M
-28.13%-123M
7.57%-232M
15.99%-662M
-97.53%-160M
Net PPE purchase and sale
81.43%-324M
---8M
--5M
-104.72%-517M
-88.40%1.23B
-2,628.99%-1.75B
--0
--0
807.30%10.96B
2,065.03%10.59B
Net investment purchase and sale
--0
--0
--0
200.00%1.3B
--0
--0
8,893.33%1.32B
---17M
---1.3B
---1.3B
Net other investing changes
266.67%10M
----
----
-50.00%6M
0.00%8M
14.29%-6M
-44.44%5M
-150.00%-1M
-69.23%12M
-61.90%8M
Cash from discontinued investing activities
Investing cash flow
77.38%-423M
-108.33%-100M
19.20%-202M
-98.44%139M
-88.31%1.06B
-2,297.44%-1.87B
574.72%1.2B
-9.17%-250M
471.64%8.92B
2,676.69%9.05B
Financing cash flow
Cash flow from continuing financing activities
92.94%-140M
-412.20%-840M
-224.41%-691M
60.91%-2.99B
91.23%-630M
-1,106.09%-1.98B
59.00%-164M
17.44%-213M
-0.75%-7.65B
-330.76%-7.19B
Net issuance payments of debt
--0
----
----
88.68%-300M
87.46%-475M
-72.04%175M
----
----
45.36%-2.65B
-244.27%-3.79B
Net common stock issuance
101.26%25M
--13M
-4,225.00%-495M
53.98%-1.97B
100.15%5M
-696.00%-1.99B
--0
104.11%12M
-111.39%-4.29B
-555.56%-3.25B
Cash dividends paid
3.64%-159M
4.24%-158M
3.64%-159M
0.15%-651M
-2.63%-156M
0.00%-165M
0.60%-165M
2.37%-165M
-3.49%-652M
1.30%-152M
Net other financing activities
-200.00%-6M
-900.00%-8M
38.33%-37M
-14.04%-65M
-300.00%-4M
85.71%-2M
-88.89%1M
-17.65%-60M
29.63%-57M
-101.23%-1M
Cash from discontinued financing activities
0
-101.94%-21M
Financing cash flow
92.94%-140M
-412.20%-840M
-224.41%-691M
61.01%-2.99B
91.26%-630M
-1,106.09%-1.98B
59.00%-164M
17.44%-213M
-17.83%-7.67B
-1,129.69%-7.21B
Net cash flow
Beginning cash position
-69.80%1.51B
-35.45%2.35B
-25.69%2.8B
81.70%3.77B
-9.67%1.75B
226.75%5B
105.08%3.64B
81.70%3.77B
-76.34%2.08B
11.28%1.93B
Current changes in cash
104.47%144M
-159.41%-821M
-234.11%-431M
-150.54%-932M
-42.23%1.04B
-722.01%-3.22B
823.56%1.38B
53.60%-129M
127.83%1.84B
397.23%1.8B
Effect of exchange rate changes
222.22%33M
22.73%-17M
-257.14%-25M
75.00%-37M
-55.81%19M
76.11%-27M
58.49%-22M
72.00%-7M
-105.56%-148M
286.96%43M
End cash Position
-3.49%1.69B
-69.80%1.51B
-35.45%2.35B
-25.69%2.8B
-25.69%2.8B
-9.67%1.75B
226.75%5B
105.08%3.64B
81.70%3.77B
81.70%3.77B
Free cash flow
127.11%309M
50.54%417M
65.32%286M
-524.32%-462M
135.85%228M
-369.50%-1.14B
53.04%277M
511.90%173M
91.32%-74M
-223.02%-636M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
--
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -0.41%737M31.75%527M21.73%493M75.42%2.19B249.19%646M28.03%740M44.40%400M93.78%405M-32.34%1.25B-0.54%185M
Net income from continuing operations 64.95%480M-34.57%176M-32.97%183M-49.76%533M-385.71%-300M-18.94%291M202.25%269M-46.26%273M-12.10%1.06B102.07%105M
Operating gains losses -1,068.75%-155M787.50%55M-16.67%-7M180.00%32M-33.33%30M300.00%16M91.75%-8M-130.00%-6M74.36%-40M-99.10%45M
Depreciation and amortization 4.08%306M5.67%298M5.05%291M1.06%1.15B7.30%294M3.89%294M19.49%282M-19.01%277M2.07%1.14B1,422.22%274M
Deferred tax -46.67%-22M-160.00%-52M-160.00%-13M-142.68%-381M-933.33%-341M76.92%-15M-110.36%-20M98.02%-5M37.70%-157M52.86%-33M
Other non cash items 75.00%-1M0.00%46M100.00%40M100.95%211M313.89%149M76.47%-4M342.11%46M-80.95%20M-36.36%105M-50.00%36M
Change In working capital -18.35%129M102.37%4M99.35%-1M81.87%-155M104.13%10M507.69%158M-35.20%-169M70.04%-154M-271.74%-855M-197.58%-242M
-Change in receivables -250.00%-21M-388.89%-78M-225.42%-74M355.70%202M-33.33%102M125.93%14M-64.47%27M123.23%59M77.17%-79M188.68%153M
-Change in inventory -126.09%-24M-103.66%-3M64.10%-42M205.58%227M65.05%170M396.77%92M920.00%82M57.76%-117M13.31%-215M-61.42%103M
-Change in payables and accrued expense 81.82%-12M142.55%40M370.97%84M-124.64%-310M30.00%-119M-3.13%-66M54.81%-94M-110.20%-31M-162.44%-138M-7.59%-170M
-Change in other working capital 57.63%186M124.46%45M147.69%31M35.22%-274M56.40%-143M-32.57%118M-1,182.35%-184M77.35%-65M-395.80%-423M-481.40%-328M
Cash from discontinued investing activities 58.70%-273M-251.95%-661M
Operating cash flow -0.41%737M31.75%527M21.73%493M226.19%1.92B178.36%373M28.03%740M44.40%400M93.78%405M-74.22%588M-176.65%-476M
Investing cash flow
Cash flow from continuing investing activities 77.38%-423M-108.33%-100M19.20%-202M-98.09%172M-88.05%1.09B-2,297.44%-1.87B574.72%1.2B-9.17%-250M491.82%9B2,028.90%9.13B
Capital expenditure reported 8.40%-109M17.07%-102M10.78%-207M6.50%-619M9.38%-145M23.23%-119M-28.13%-123M7.57%-232M15.99%-662M-97.53%-160M
Net PPE purchase and sale 81.43%-324M---8M--5M-104.72%-517M-88.40%1.23B-2,628.99%-1.75B--0--0807.30%10.96B2,065.03%10.59B
Net investment purchase and sale --0--0--0200.00%1.3B--0--08,893.33%1.32B---17M---1.3B---1.3B
Net other investing changes 266.67%10M---------50.00%6M0.00%8M14.29%-6M-44.44%5M-150.00%-1M-69.23%12M-61.90%8M
Cash from discontinued investing activities
Investing cash flow 77.38%-423M-108.33%-100M19.20%-202M-98.44%139M-88.31%1.06B-2,297.44%-1.87B574.72%1.2B-9.17%-250M471.64%8.92B2,676.69%9.05B
Financing cash flow
Cash flow from continuing financing activities 92.94%-140M-412.20%-840M-224.41%-691M60.91%-2.99B91.23%-630M-1,106.09%-1.98B59.00%-164M17.44%-213M-0.75%-7.65B-330.76%-7.19B
Net issuance payments of debt --0--------88.68%-300M87.46%-475M-72.04%175M--------45.36%-2.65B-244.27%-3.79B
Net common stock issuance 101.26%25M--13M-4,225.00%-495M53.98%-1.97B100.15%5M-696.00%-1.99B--0104.11%12M-111.39%-4.29B-555.56%-3.25B
Cash dividends paid 3.64%-159M4.24%-158M3.64%-159M0.15%-651M-2.63%-156M0.00%-165M0.60%-165M2.37%-165M-3.49%-652M1.30%-152M
Net other financing activities -200.00%-6M-900.00%-8M38.33%-37M-14.04%-65M-300.00%-4M85.71%-2M-88.89%1M-17.65%-60M29.63%-57M-101.23%-1M
Cash from discontinued financing activities 0-101.94%-21M
Financing cash flow 92.94%-140M-412.20%-840M-224.41%-691M61.01%-2.99B91.26%-630M-1,106.09%-1.98B59.00%-164M17.44%-213M-17.83%-7.67B-1,129.69%-7.21B
Net cash flow
Beginning cash position -69.80%1.51B-35.45%2.35B-25.69%2.8B81.70%3.77B-9.67%1.75B226.75%5B105.08%3.64B81.70%3.77B-76.34%2.08B11.28%1.93B
Current changes in cash 104.47%144M-159.41%-821M-234.11%-431M-150.54%-932M-42.23%1.04B-722.01%-3.22B823.56%1.38B53.60%-129M127.83%1.84B397.23%1.8B
Effect of exchange rate changes 222.22%33M22.73%-17M-257.14%-25M75.00%-37M-55.81%19M76.11%-27M58.49%-22M72.00%-7M-105.56%-148M286.96%43M
End cash Position -3.49%1.69B-69.80%1.51B-35.45%2.35B-25.69%2.8B-25.69%2.8B-9.67%1.75B226.75%5B105.08%3.64B81.70%3.77B81.70%3.77B
Free cash flow 127.11%309M50.54%417M65.32%286M-524.32%-462M135.85%228M-369.50%-1.14B53.04%277M511.90%173M91.32%-74M-223.02%-636M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion------------
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