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DuPont

DD
NYSE
$50.62

Quelle est l'efficacité de la stratégie d'allocation de capital de DuPont ?

Management has executed large, value‑focused portfolio actions: sale of Mobility & Materials, termination of Rogers when approvals failed, acquisition of Spectrum Plastics to scale healthcare, spin of electronics as Qnity, and a signed deal to divest Aramids.

Post‑spin, a 2 billion dollar repurchase authorization and a new dividend aligned to a 35 to 45 percent payout signal balanced returns with reinvestment in secular growth. The stated M&A approach is bolt‑on and returns‑driven.

Execution risk remains around integration and timing of divestiture proceeds deployment, but the multi‑year track record is strong.