Key Takeaways Adjusted capital spending and asset optimization strategies aim to enhance cash flow, improve margins, and focus on high-margin operations. Strategic divestitures and cost reductions enhance financial flexibility and improve earnings amidst macroeconomic challenges, with litigation proceeds providing additional support.Read more

Key Takeaways Global decarbonization trends and regulatory pressures are undermining demand for Dow's traditional products, compressing margins and threatening long-term profitability. Industry overcapacity and the need for heavy reinvestment are depressing earnings, restricting cash flow, and limiting shareholder returns.Read more

Key Takeaways Divesting noncore assets and European shutdowns streamline Dow's cost base, enabling rapid margin expansion and earnings rebound as demand returns. Strategic investments and sustainability leadership drive outperformance, fueling both higher-margin growth and new cash flow opportunities in emerging and premium markets.Read more
