Skip to main content
DOW logo

Dow Inc

Exchange: NYSESector: Basic MaterialsIndustry: Chemicals

Dow (NYSE: DOW) combines global breadth, asset integration and scale, focused innovation and leading business positions to achieve profitable growth. The Company’s ambition is to become the most innovative, customer centric, inclusive and sustainable materials science company. Dow’s portfolio of plastics, industrial intermediates, coatings and silicones businesses delivers a broad range of differentiated science-based products and solutions for its customers in high-growth market segments, such as packaging, infrastructure and consumer care. Dow operates 109 manufacturing sites in 31 countries and employs approximately 36,500 people. Dow delivered sales of approximately $43 billion in 2019. References to Dow or the Company mean Dow Inc. and its subsidiaries.

Did you know?

A large-cap company with a $29.4B market cap.

Current Price

$41.40

+1.74%
Profile
Valuation (TTM)
Market Cap$29.43B
P/E-11.22
EV$41.83B
P/B1.84
Shares Out710.77M
P/Sales0.74
Revenue$39.97B
EV/EBITDA44.80

Dow Inc (DOW) Stock Analysis

GoodMoat Analysis

Based on data as of March 26, 2026

Dow Inc appears to be a mature, cyclical chemical company currently facing significant financial headwinds, with negative profitability and free cash flow. Based on the GoodMoat framework, it fails the initial Moat & Quality Gate, indicating a lack of durable competitive advantages and fundamental strength for a value investor's criteria.

Read full analysis
Dow Inc is a major player in the global chemicals industry, producing materials used in packaging, infrastructure, and consumer care. Applying the GoodMoat framework, the company shows significant challenges. In Section 1 (Moat Identification), the data suggests a low score. While it may have some advantages from scale and vertical integration, these are not translating into durable profitability in the current cycle, and the negative metrics across the board make a score of 5+ unlikely. More critically, the Section 2 (Quality Indicators) are overwhelmingly weak: the company is not GAAP profitable (EPS of -$3.7), has negative free cash flow yield (-5.8%), a negative Return on Equity (-16.4%), and carries substantial debt (Debt/Equity of 1.22). Revenue is also declining YoY (-9.1%). This profile fails the 'Moat & Quality Gate' in Section 6 (Decision Framework), as the business lacks the fundamental strength required for further valuation analysis. The 5.29% dividend yield may attract income seekers, but the negative FCF raises questions about its sustainability. For a value investor focused on durable moats and financial health, Dow's current state, characterized by cyclical downturn pressures, makes it an unfavourable candidate without a clear near-term path to restoring high returns on capital. Analysis based on data as of 2024-05-15.

DOW Price Chart

Market Cap$29.43B
Current Price$41.40
P/E Ratio-11.22
Forward P/E
PEG Ratio-0.00
EPS$-3.70
Book Value$22.52
P/B Ratio1.84

DOW Financial Charts

FCF vs CAPEX

FCFCAPEX

Cash vs Debt

Net Debt: 15.8B

Revenue

43.0B

FY19

38.5B

FY20

55.0B

FY21

56.9B

FY22

44.6B

FY23

43.0B

FY24

40.0B

FY25

Net Income

FY19

1.2B

FY20

6.3B

FY21

4.6B

FY22

589M

FY23

1.1B

FY24

FY25

DOW 52-Week Range

$20.05
$41.87
50-Day MA: $33.29200-Day MA: $26.11
Did you know?

Pays a 5.06% dividend yield.

Dow Inc (DOW) Financial Summary

Dow Inc (DOW) is a Basic Materials company in the Chemicals industry, listed on NYSE. The stock currently trades at $41.40 with a market capitalization of $29.43B.

Key valuation metrics include a P/E ratio of -11.22, price-to-book ratio of 1.84, and EPS of $-3.70. The company reports a profit margin of -6.6% and return on equity of -16.4%.

DOW Key Financial Metrics

MetricValue
Market Cap$29.43B
P/E Ratio-11.22
EPS$-3.70
P/B Ratio1.84
P/S Ratio0.74
EV/EBITDA44.80
Dividend Yield5.06%
Profit Margin-6.6%
Return on Equity-16.4%
Debt/Equity1.22

DOW Revenue & Earnings History

YearRevenueNet Income
FY19$42.95B$-1.36B
FY20$38.54B$1.23B
FY21$54.97B$6.31B
FY22$56.90B$4.58B
FY23$44.62B$589.00M
FY24$42.96B$1.12B
FY25$39.97B$-2.62B

DOW Quality Indicators

Dow Inc maintains a profit margin of -6.6% and an operating margin of -3.9%. Return on equity stands at -16.4%. The current ratio is 1.97. Debt-to-equity ratio is 1.22.

About Dow Inc

Dow (NYSE: DOW) combines global breadth, asset integration and scale, focused innovation and leading business positions to achieve profitable growth. The Company’s ambition is to become the most innovative, customer centric, inclusive and sustainable materials science company. Dow’s portfolio of plastics, industrial intermediates, coatings and silicones businesses delivers a broad range of differentiated science-based products and solutions for its customers in high-growth market segments, such as packaging, infrastructure and consumer care. Dow operates 109 manufacturing sites in 31 countries and employs approximately 36,500 people. Dow delivered sales of approximately $43 billion in 2019. References to Dow or the Company mean Dow Inc. and its subsidiaries.

DOW Free Cash Flow

Dow Inc generated $-1.64B in trailing twelve-month free cash flow, representing an FCF yield of -5.59%. This low FCF yield may reflect heavy reinvestment or growth spending.

DOW Shares Outstanding

Dow Inc has 0.71 billion shares outstanding at a share price of $41.40, giving it a market capitalization of $29.43B.