CTVA’s 5.7% One Day Dip Begs The Question: Is CF Better Instead?

CTVA: Corteva logo
CTVA
Corteva

CF Industries (CF) offers superior revenue growth across key periods, better profitability, and relatively lower valuation vs Corteva (CTVA), suggesting you may be better off investing in CF

  • CF’s quarterly revenue growth was 20.2%, vs. CTVA’s 5.6%.
  • In addition, its Last 12 Months revenue growth came in at 9.5%, ahead of CTVA’s 1.6%.
  • CF leads on profitability over both periods – LTM margin of 29.2% and 3-year average of 32.8%.

CTVA operates in agriculture, developing advanced seeds for optimal yields and providing herbicides, insecticides, nitrogen stabilizers, and pasture management solutions. CF manufactures and sells hydrogen and nitrogen products for energy, fertilizer, emissions abatement, and industrial uses, including ammonia, urea, and related products worldwide.

Valuation & Performance Overview

  CTVA CF Preferred
     
Valuation      
P/EBIT Ratio 18.9 7.4 CF
     
Revenue Growth      
Last Quarter 5.6% 20.2% CF
Last 12 Months 1.6% 9.5% CF
Last 3 Year Average 1.0% -12.4% CTVA
     
Operating Margins      
Last 12 Months 14.7% 29.2% CF
Last 3 Year Average 13.1% 32.8% CF
     
Momentum      
Last 3 Year Return 16.9% -9.7% CTVA

Note: For “Last 3 Year Return” metric, preferred stock is one with higher returns unless the returns are too high (>300%) which creates risk of sell off.
See more revenue details: CTVA Revenue Comparison | CF Revenue Comparison
See more margin details: CTVA Operating Income Comparison | CF Operating Income Comparison
 
But do these numbers tell the full story? Read Buy or Sell CF Stock to see if CF Industries’s edge holds up under the hood or if Corteva still has cards to play (see Buy or Sell CTVA Stock).

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That is one way to look at stocks. Trefis High Quality Portfolio evaluates much more, and is designed to reduce stock-specific risk while giving upside exposure

Historical Market Performance

  2020 2021 2022 2023 2024 2025 Total [1] Avg Best
Returns
CTVA Return 33% 24% 26% -18% 20% 24% 171% <===
CF Return -16% 87% 22% -5% 10% 2% 107%  
S&P 500 Return 16% 27% -19% 24% 23% 12% 104%  
Monthly Win Rates [3]
CTVA Win Rate 67% 67% 75% 42% 67% 62%   63%  
CF Win Rate 50% 75% 58% 42% 58% 62%   58%  
S&P 500 Win Rate 58% 75% 42% 67% 75% 62%   63% <===
Max Drawdowns [4]
CTVA Max Drawdown -30% -1% -4% -25% -7% -2%   -12% <===
CF Max Drawdown -55% -0% -9% -29% -12% -19%   -21%  
S&P 500 Max Drawdown -31% -1% -25% -1% -2% -15%   -12%  

[1] Cumulative total returns since the beginning of 2020
[2] 2025 data is for the year up to 9/15/2025 (YTD)
[3] Win Rate = % of calendar months in which monthly returns were positive
[4] Max drawdown represents maximum peak-to-trough decline within a year

 
No matter how good the numbers, stock investment is never a smooth ride. There is a risk you must factor in. Read CF Dip Buyer Analyses to see how the stock has fallen and recovered in the past.