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DuPont (DD): analysis and statistics

Return, volatility, Sharpe ratio and risk for DuPont, an S&P 500 component in the Materials sector. Data as of 2026-07-30.

Last close price$138.77
Sector (GICS)Materials
Annualized return (3.0 yr)+14.62%
Total return over period+50.26%
Annualized volatility30.03%
Sharpe ratio0.36
Sortino ratio0.52
Max drawdown-37.84%
CVaR 95% (avg. loss, worst 5% of days)-4.22%
Correlation with the S&P 5000.57
Period range$67.54 – $153.36
Trading days analyzed752

Over the last 3.0 years, DuPont (DD) has posted an annualized return of +14.62% with annual volatility of 30.03%, a Sharpe ratio of 0.36. Its worst stretch (max drawdown from a peak) was -37.84%. Its correlation with the S&P 500 is 0.57, which means it moves moderately in step with the index.

These are historical, realized metrics, not projections: they describe how the stock behaved, not how it will behave going forward. To see how DD would fit inside an optimized portfolio alongside other S&P 500 stocks, try the optimizer.

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Information for educational purposes only. Not financial advice or a recommendation to buy or sell. Past performance does not guarantee future results.