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DD

Company financials

DuPont

Materials Specialty Chemicals Wilmington, Delaware Last filing Feb 17, 2026 · FY2025
Revenue FY2025
$6.8B
3y CAGR -19.3% P4
Net income FY2025
$-779.0M
Net margin -11.4% P8
Total assets FY2025
$21.6B
ROA -3.6% P12
Operating cash flow FY2022
$588.0M
12 yrs · FY2013–FY2025 1 gap (2014) 9 filed · 0 derived · 0 blank

Balance Sheet

Assets, liabilities, and equity

30 accounts · 5 years
Total assets $21.6B
Total liabilities $7.5B
Shareholders equity $13.9B
Account 2025 2024 2023 2022 2021 Trend
Assets
Cash and Cash Equivalents $715.0M -61.4% $1.9B -22.7% $2.4B -34.7% $3.7B 82.1% $2.0B
Accounts Receivable $1.7B 8.8% $1.5B 1.4% $1.5B -3.4% $1.6B -24.0% $2.1B
Inventory $1.2B -45.0% $2.1B -0.8% $2.1B -7.8% $2.3B -18.6% $2.9B
Prepaid Expenses $121.0M -32.4% $179.0M -7.7% $194.0M 15.5% $168.0M -28.8% $236.0M
Other Current Assets $314.0M $0 $0 -100.0% $146.0M $0
Total Current Assets $5.6B -12.4% $6.4B -15.3% $7.5B -33.3% $11.3B 39.7% $8.1B
Property,Plant and Equipment $3.5B -39.9% $5.8B -2.0% $5.9B 2.7% $5.7B -17.7% $7.0B
Goodwill $7.9B -52.2% $16.6B -0.9% $16.7B 0.3% $16.7B -1.9% $17.0B
Intangible Assets $2.9B -45.3% $5.4B -7.6% $5.8B 5.8% $5.5B -34.9% $8.4B
Long Term Investments $111.0M -85.7% $778.0M -1.3% $788.0M 14.9% $686.0M -22.0% $879.0M
Deferred Tax Assets $282.0M 14.6% $246.0M -21.2% $312.0M 186.2% $109.0M -23.8% $143.0M
Other Noncurrent Assets $971.0M -19.4% $1.2B -2.7% $1.2B -1.1% $1.3B -15.4% $1.5B
Total Assets $21.6B -41.1% $36.6B -5.0% $38.6B -6.8% $41.4B -9.5% $45.7B
Liabilities
Accounts Payable $995.0M -42.2% $1.7B 2.7% $1.7B -20.4% $2.1B -19.5% $2.6B
Accrued Liabilities $882.0M -14.5% $1.0B -18.8% $1.3B 33.4% $951.0M -20.6% $1.2B
Current Portion of Long Term Debt $0 -100.0% $1.8B $0 -100.0% $300.0M 100.0% $150.0M
Other Current Liabilities $1.2B -6.6% $1.3B 3.8% $1.2B 7.2% $1.2B 22.8% $937.0M
Total Current Liabilities $2.3B -52.0% $4.8B 55.0% $3.1B -17.0% $3.7B -12.4% $4.3B
Long Term Debt $3.1B -41.1% $5.3B -31.8% $7.8B 0.3% $7.8B -26.9% $10.6B
Deferred Tax Liabilities $405.0M -55.7% $915.0M -19.0% $1.1B -2.4% $1.2B -41.3% $2.0B
Other Noncurrent Liabilities $1.2B -6.6% $1.3B 3.8% $1.2B 7.2% $1.2B 22.8% $937.0M
Total Liabilities $7.5B -41.8% $12.8B -7.1% $13.8B -3.6% $14.3B -23.1% $18.7B
Equity
Common Stock $4.0M 0.0% $4.0M 0.0% $4.0M -20.0% $5.0M 0.0% $5.0M
Additional Paid In Capital $38.7B -19.2% $47.9B -0.3% $48.1B -0.7% $48.4B -2.3% $49.6B
Retained Earnings $-24.3B -5.2% $-23.1B -0.9% $-22.9B -8.6% $-21.1B 9.2% $-23.2B
Treasury Stock $400.0M 0.0% $400.0M -75.0% $1.6B -57.0% $3.7B 73.8% $2.1B
Accumulated Other Comprehensive Income $-525.0M 65.0% $-1.5B -64.8% $-910.0M -15.0% $-791.0M -2029.3% $41.0M
Noncontrolling Interest $184.0M -58.5% $443.0M -0.7% $446.0M -0.4% $448.0M -27.4% $617.0M
Total Stockholders Equity $13.9B -40.4% $23.4B -3.8% $24.3B -8.6% $26.6B 0.5% $26.4B
Total Liabilitiesand Equity $21.6B -41.1% $36.6B -5.0% $38.6B -6.8% $41.4B -9.5% $45.7B

Key Ratios

Margins, returns, liquidity, leverage, efficiency

Computed at import · 5 years
Ratio 2025 2024 2023 2022 2021
Profitability
Gross margin +34.5% +33.0% +32.8% +35.5% +36.6%
Operating margin +1.1% +1.0% +1.0% +0.4%
Net margin -11.4% +10.5% +6.4% +45.1% +51.5%
FCF margin -0.6% +11.9%
Growth
Revenue CAGR (3y) -19.3% -18.8% -15.9% -5.5% -17.8%
Returns
ROE -5.6% +3.0% +1.7% +22.1% +24.5%
ROA -3.6% +1.9% +1.1% +14.2% +14.1%
ROIC +0.2% +0.0% +0.2% +0.1%
Liquidity
Current ratio 2.42x 1.33x 2.43x 3.02x 1.89x
Quick ratio 1.03x 0.70x 1.26x 1.40x 0.96x
Leverage
D/E 0.54x 0.55x 0.57x 0.54x 0.71x
Interest coverage 0.24x 0.19x 0.17x 0.12x
Efficiency
Asset turnover 0.32x 0.18x 0.17x 0.31x 0.27x
Cash conversion cycle +103d +117d +122d +54d +71d

Valuation

Price against fundamentals

FY2025 fundamentals · no price

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