C

Corteva Inc

CTVANYSEBASIC MATERIALS
$74.86+0.40 (+0.54%)
Market closedPrev close $74.46

AlphaYou read

Insider Cluster

LONGLive
20/ 100
WeakScore 20 / 100Saved May 28, 2026

Smart-money signal on CTVA this 14d.

Looks good

Smart-money signal on CTVA this 14d.

Watch risk

Conviction is weak; save it and wait for stronger confirmation.

Changed

Saved May 28, 2026. Day 14 of 30D; -0.8% vs S&P so far.

  • Smart money5.0/40
  • Fundamentals9.1/35
  • Technicals3.3/15
  • Macro3.0/10

Price

Stock chart

1call marked
Prior call1

Snapshot

Quick facts

Updated Jun 11
Market cap
$49.80B
P/E ratio
40.25
Forward P/E
21.23
Beta
0.57
52-week range
$60.10 - $85.43
Dividend yield
0.96%
Volume
4.25M
Sector
BASIC MATERIALS

Analysts

What do analysts expect?

Live

Current

$74.86

Target

$89.71

+14.85 (+19.8%) possible upside12 months

Saved calls

Recent AlphaYou calls for this stock

  • LONGMay 28
    Insider Cluster

    Smart-money signal on CTVA this 14d.

    Public call·Results pending

Smart money

What big buyers and insiders are doing

Live6 items
  • filing nport p fund flow

    AMERICAN FUNDS INSURANCE SERIES [Washington Mutual Investors Fund] increased position ($47.0M) (+116%)

    +4.0
  • filing 13f fund flow

    Renaissance Technologies LLC holds $83.3M (13F 2025-09-30)

    +5.0
  • filing nport p fund flow

    Janus Investment Fund (legacy active) holds $331.5M (NPORT-P 2025-12-31)

    +4.0
  • filing 13f fund flow

    Citadel Advisors LLC holds $211.0M (13F 2025-12-31)

    +4.0
  • filing 13f fund flow

    Two Sigma Investments LP holds $5.7M (13F 2026-03-31)

    +4.0
  • filing 13f fund flow

    FMR LLC (Fidelity) holds $1.9B (13F 2025-12-31)

    +3.0

Top trader activity

Pending

Real trader activity will show here once the feed is ready.

BTC Astro risk regime

Pending

A broad risk read. Used only as context, not as the main stock reason.

Who helped?

Sources tied to past calls on this stock

Source types

Funds, insiders, and filers

Did it work?

How past calls did

Soon

No results yet for this stock.

Results appear 7, 15, and 30 days after a call.

Each row shows what happened after the call. Green means it beat the comparison; red means it lagged.

Source links

Can you check the original source?

LiveRules
100.0%
Linked
1
Items
1
Calls
1
Public calls
Source links1/1
SEC EDGAR NPORT-P1/1 linked
Recent source items
  • SEC EDGAR NPORT-P

    FILING NPORT P FUND FLOW · May 28· source

    linked

Fundamentals

Is the business strong?

Live

Valuation

  • P/E40.25
  • Forward P/E21.23
  • P/S2.78
  • P/B2.04

Quality

  • Profit margin6.5%
  • Operating margin23.7%
  • ROE5.1%
  • ROA4.3%

Growth

  • Revenue YoY--
  • Earnings YoY--
  • Beta0.57
  • Dividend yield1.0%

Technicals

Chart health

Live

Trailing returns

  • 5d-3.36%
  • 20d-9.98%
  • 60d-6.27%

Trend vs moving averages

  • vs SMA50-6.79%
  • vs SMA200+3.42%

52w range position

$60.1058%$85.43

Based on daily price data. Options flow and order-book data are not in this chart panel yet.

Macro

Market backdrop

Live
  • macro regime shift

    VIX 16.3 (mild) as of 2026-05-27

    +16.3
  • macro regime shift

    10y-2y spread 48bps (flattish) as of 2026-05-27

    +0.5
  • macro regime shift

    Industrial Production 102.5 (mild expansion) as of 2026-04-01

    +102.5
  • macro regime shift

    Initial claims 215,000 vs 26w mean (ratio 1.01, neutral)

    +1.0
  • macro regime shift

    CPI YoY 3.95% (hot vs Fed target)

    +4.0

Earnings

Did earnings help or hurt?

Live
$2.64$1.68$0.72$-0.24$-1.20Q2 '24Q4 '24Q2 '25Q4 '25Q1 '26
BeatMissMatchEstimate

Bull vs bear

What could help or hurt?

Live
  • Bullish view

    • AMERICAN FUNDS INSURANCE SERIES [Washington Mutual Investors Fund] increased position ($47.0M) (+116%)
    • Renaissance Technologies LLC holds $83.3M (13F 2025-09-30)
    • Janus Investment Fund (legacy active) holds $331.5M (NPORT-P 2025-12-31)
    • Citadel Advisors LLC holds $211.0M (13F 2025-12-31)

    Bearish view

    No reasons on this side yet.

Reasons come from smart money, fundamentals, technicals, and macro. Counts show how many reasons sit on each side.

Scorecard

Past call results

vs SPY

S&P 500

2 calls · 1L · 1S

Typical edge

+2.74%

Avg edge

+2.74%

Hit rate

50.0%

Mean return

+1.02%

vs QQQ

Nasdaq-100

2 calls · 1L · 1S

Typical edge

+3.64%

Avg edge

+3.64%

Hit rate

100.0%

Mean return

+1.02%

Results are grouped by stock, direction, and day so the same call is not counted twice.