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DDDD
29 quarters

Position history for Boston PartnersBoston Partners's holdings in DUPONT DE NEMOURS INC

Boston Partners holds 433,365 shares of DD (DUPONT DE NEMOURS INC), worth $58.8M as of 2026-Q2. The position was decreased (-67.0% shares). DD represents 0.1% of Boston Partners's portfolio.

Current Value

$58.8M

Current Shares

433,365

Total Value Change

-$521.3M

Total Shares Change

-7.3M

Quarter-by-Quarter History
QuarterActionSharesChangeValueWeightPriceConviction
2026-Q2
Latest
Decreased
433,365
-67.0%
$58.8M0.1%$135.64
0
2026-Q1
Decreased
1.3M
-32.5%
$60.1M0.1%$48.27
0
2025-Q4
Decreased
1.9M
-51.5%
$78.2M0.1%$40.68
0
2025-Q3
Increased
4M
+15.1%
$312.2M0.3%$96.51
42
2025-Q2
Increased
3.5M
+36.6%
$238.9M0.3%$84.53
48
2025-Q1
Increased
2.6M
+15.2%
$190.4M0.2%$30.47
42
2024-Q4
Increased
2.2M
+32.7%
$168.8M0.2%$31.11
47
2024-Q3
Increased
1.7M
+2.5%
$148.6M0.2%$36.51
37
2024-Q2
Decreased
1.6M
-61.2%
$130.9M0.2%$97.22
0
2024-Q1
Decreased
4.2M
-17.6%
$321.1M0.4%$92.18
0
2023-Q4
Decreased
5.1M
-28.4%
$390.9M0.5%$30.91
0
2023-Q3
Decreased
7.1M
-12.2%
$529.5M0.7%$29.82
0
2023-Q2
Decreased
8.1M
-12.8%
$579.3M0.8%$28.19
0
2023-Q1
Decreased
9.3M
-27.2%
$665M0.9%$27.95
0
2022-Q4
Increased
12.7M
+2.0%
$877M1.2%$27.03
51
2022-Q3
Increased
12.5M
+4.4%
$634.1M0.9%$19.85
46
2022-Q2
Decreased
12M
-2.9%
$667.2M0.9%$21.96
0
2022-Q1
Increased
12.3M
+4.1%
$906.6M1.1%$29.69
52
2021-Q4
Decreased
11.8M
-6.0%
$956.9M1.2%$30.94
0
2021-Q3
Increased
12.6M
+6.9%
$857.2M1.1%$26.60
54
2021-Q2
Increased
11.8M
+5.7%
$912.8M1.2%$29.55
53
2021-Q1
Increased
11.2M
+1.7%
$862M1.2%$87.80
51
2020-Q4
Increased
11M
+2.4%
$780.2M1.2%$80.44
51
2020-Q3
Decreased
10.7M
-3.5%
$594.2M1.1%$62.47
0
2020-Q2
Increased
11.1M
+5.8%
$589.7M1.1%$19.74
53
2020-Q1
Decreased
10.5M
-46.1%
$357.8M0.7%$37.96
0
2019-Q4
Increased
19.5M
+178.6%
$1.2B0.9%$71.01
73
2019-Q3
Decreased
7M
-9.6%
$498.2M0.7%$78.51
0
2019-Q2
New
7.7M
-
$580.1M0.8%$82.31
61

Other major holders of DD: BNP PARIBAS FINANCIAL MARKETS, Steward Partners Investment Advisory, LLC, VANGUARD GROUP INC

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