DD (DuPont de Nemours Inc) Technical Analysis

DD Technical Analysis leverages historical price and volume data to provide real-time indicator values and signals, including RSI, MACD, Bollinger Bands, and volume, to reflect market momentum, volatility ranges, and price-volume dynamics. It also integrates market sentiment metrics such as the VIX volatility index, Advance-Decline ratio (A/D ratio), and Put/Call options ratio for broader market context. Multi-timeframe views span from minute intervals to daily, weekly, and monthly charts, making it easy to track indicator behavior across periods. Key support and resistance levels are displayed alongside current prices, calculated via pivots, Fibonacci retracements, and historical extremes to offer an immediate overview of market structure.
DD
DD

DuPont de Nemours Inc

$138.41+2.21%
Today's High$139.37
Today's Low$133.06
Today's Open$133.06
Yesterday's Close$135.41

DD (DuPont de Nemours Inc) Technical Analysis Overview

AI CreationAs of July 1, 2026, DuPont de Nemours Inc (DD) is showing mixed technical signals with a neutral-to-slightly-bearish near-term bias. The MACD Level at negative 1.74 carries a Sell signal, suggesting momentum remains weak, while the RSI(14) reading of 38.33 sits in the weak zone between 30 and 45, indicating that buyers have not yet established decisive control. The short-term moving average cluster—EMA10 at 138.73, EMA20 at 140.43, EMA50 at 141.32, and SMA20 at 141.05—all display Sell signals and are tightly grouped, while the SMA200 at 129.73 remains in Buy mode, reflecting disagreement between short-term weakness and longer-term uptrend support. The Average Directional Index at 14.69 signals a very weak trend structure prone to range-bound oscillation, and overall **DD technical analysis** indicates a consolidation phase with insufficient trend strength to establish a clear directional commitment.

Oscillators

Strong Sell
Strong Buy
Neutral
1
Sell
8
Neutral
2
Buy

Summary

Strong Sell
Strong Buy
Sell
11
Sell
9
Neutral
6
Buy

Moving Averages

Strong Sell
Strong Buy
Sell
10
Sell
1
Neutral
4
Buy

DD (DuPont de Nemours Inc) Live Candlestick Chart

DD (DuPont de Nemours Inc) Multi-Timeframe Technical Rating

Summary1H4H1D1W
Moving Averages (15)955941086
Oscillators (11)NeutralNeutralNeutralNeutral
RSI (14)58.948.245.452.5
MACD (12,26)Golden CrossDeath CrossDeath CrossGolden Cross

DD (DuPont de Nemours Inc) Technical Indicator Interpretation

Based on 1-day closing price series

Oscillators

NameValueOperation
RSI(14)
45.4856Neutral
Stochastic %K (14, 3, 3)
31.3245Neutral
Commodity Channel Index (CCI) (20)
-73.8564Neutral
Average Directional Index (ADX) (14)
14.7612Neutral
Awesome Oscillator (AO)
-6.938Neutral
Momentum Indicator (10)
-5.595Buy
MACD Level (12, 26)
-1.6272Sell
Stochastic RSI Fast (3, 3, 14, 14)
18.0451Buy
Williams Percent Range (%R) (14)
-57.8995Neutral
Bull Bear Power (BBP)
-4.611Neutral
Ultimate Oscillator (UO) (7, 14, 28)
48.3175Neutral

Moving Averages

NameValueOperation
EMA (10)
138.7779Sell
SMA (10)
139.4305Sell
EMA (20)
140.3024Sell
SMA (20)
140.7042Sell
EMA (30)
141.0144Sell
SMA (30)
141.6608Sell
EMA (50)
141.2362Sell
SMA (50)
142.4525Sell
EMA (100)
138.513Buy
SMA (100)
142.0053Sell
EMA (200)
129.8193Buy
SMA (200)
128.5804Buy
Ichimoku Kinko Hyo Base Line (9, 26, 52, 26)
141.3205Neutral
Volume-Weighted Moving Average (VWMA) (20)
140.3487Sell
Hull Moving Average (HMA) (9)
135.3813Buy

DD (DuPont de Nemours Inc) Pivot Points

Based on 1-day timeframe

PriceClassicFibonacciCamarillaWoodieDM
R3173.565156.026140.4632161.1785-
R2156.026149.3261138.8555154.9293-
R1145.833145.1869137.2477143.6395142.16
Pivot P138.487138.487138.487137.3903136.6505
S1128.294131.7871134.0323126.1005124.621
S2120.948127.6479132.4245119.8513-
S3103.409120.948130.8168108.5615-

DD (DuPont de Nemours Inc) Market Sentiment Index

Analyst Rating170.8135
Options Put/Call Ratio+157.74%
Implied Volatility (IV)55.133

DD (DuPont de Nemours Inc) Deep Technical Analysis

As of July 1, 2026, DuPont de Nemours Inc is exhibiting a mixed technical structure with price action trading near recent lows after opening at 135.58 and closing at 134.87, representing a decline of 0.23 percent. The MACD Level at negative 1.74 carries a Sell signal, reflecting weak momentum; this bearish reading suggests that sellers retain near-term control and momentum has not yet shifted in favor of buyers. The RSI(14) at 38.33 sits in the weak zone, confirming that buying pressure remains insufficient and that price may continue to oscillate without strong directional conviction. The Average Directional Index (14) stands at 14.69 with a Neutral signal, indicating a very weak trend structure prone to continued range-bound or choppy price action rather than a sustained directional move. The Commodity Channel Index (20) at negative 126.72 carries a Buy signal, suggesting price may be approaching an extreme low; the Momentum (10) indicator at negative 10.58 with a Sell signal aligns with the MACD's bearish reading and reinforces the near-term weakness picture, though these conflicting signals underscore the consolidation environment. the short-term cluster (EMA10 at 138.73, EMA20 at 140.43, EMA50 at 141.32, and SMA20 at 141.05) all carry Sell signals and are tightly grouped, indicating sellers have the upper hand in the immediate term. However, the SMA200 at 129.73 with a Buy signal sits well below current price, confirming that the longer-term uptrend structure remains intact; this divergence suggests that while the DD market analysis remains supported by longer-term moving averages, short-term weakness persists and could extend if support near 137 to 142 breaks. resistance targets are R1 at 152.69, R2 at 157.51, and R3 at 165.30, while support levels are S1 at 137.11, S2 at 132.29, and S3 at 124.50. The recent day's low of 134.52 sits just above the S1 level at 137.11, indicating that the market has not yet tested deeper support; however, a break below S1 would target S2 at 132.29 and then S3 at 124.50. The near-term DD price forecast depends heavily on whether buyers defend the 132.3 to 137.1 zone or allow a deeper test toward 124.5. On the market breadth front, the put/call ratio at 3.37 suggests elevated hedging demand and risk aversion among options traders, indicating that investors are actively protecting downside exposure. The implied volatility reading of 49.23 indicates moderate price uncertainty and potential for continued oscillation, while the analyst rating at 170.81 indicates that professional analysts maintain a moderately bullish lean overall, though this contrasts with the current short-term technical weakness. Combining these signals, the overall DD price prediction leans neutral-to-balanced, with the market awaiting either a stabilization near support or a recovery that reclaims the 137.0 to 142.0 prior zone to confirm the next directional bias.

FAQ

What is the current technical rating for DD?

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On the 4H timeframe, the aggregate technical rating for DD is Sell. This rating is dynamically aggregated from moving averages and momentum oscillators to reflect the prevailing trend direction and price velocity.

Where are the key support and resistance levels for DD?

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What are the current RSI and MACD signals for DD?

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How often is the DD technical analysis data updated?

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