DuPont de Nemours (DD) Technical analysis
Materials
Market data as of 2026-09-04 · Autonium metric computed 2026-09-04 · model v1DD technical analysis — the short answer
DD is classified Range with a 14-day RSI of 36.2, three-month return of -6.4% and 20-day realised volatility of 21.1%. Autonium's composite Algo Score currently reads unavailable/100.
Price versus moving averages
Last close131.59
20-day138.40-4.9%
50-day138.31-4.9%
100-day140.52-6.4%
200-day136.66-3.7%
Trend classificationRange
Returns
1 week-3.9%
1 month-8.6%
3 months-6.4%
6 months-3.1%
12 months+35.9%
Volatility and drawdown
Realised volatility (20d, annualised)+21.1%
Realised volatility (60d, annualised)+24.3%
1-year volatility percentile17
Current drawdown from peak-14.9%
Deepest 1-year drawdown-17.6%
SPY volatility (20d)+8.1%
Autonium Algo Score
Current score—
7-day change—
30-day change—
90-day change—
1-year range—
Readings above 700
Readings below 300
Signal drivers
MomentumNeutral
Technical trendNeutral
VolatilityNeutral
SentimentNeutral
Sector peers — 3-month return
LIN — Linde plc-6.0
ECL — Ecolab Inc.8.3
Bullish signals
- None measured.
Neutral signals
- RSI mid-range at 36.2
- Volatility in the 17th percentile of its own year
- Expanding volume regime
Bearish signals
- Price below the 50-day average
- Price below the 200-day average
- -10.8% three-month excess return vs SPY
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