The Chemours
NYSE:CC
$ 21,58
+ $0,81 (3,90%)
21,58 $
+$0,81 (3,90%)
End-of-day quote: 03/26/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

$0,95
Earnings Per Share
$38,70
Revenue Per Share
15,53%
Gross Margin %
$3,24 B
Market Cap
$4,10 B
Long-Term Debt
Earnings Per Share
$0,95
Revenue Per Share
$38,70
Gross Margin %
15,53%
Market Cap
$3,24 B
Long-Term Debt
$4,10 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
EPS Earnings Per Share $0,95 $1,21 $2,82 $4,66 $4,00 $1,98 $2,51 $5,67 $3,82 $1,02 $0,79
Earnings Earnings $142,59M $180,82M $419,62M $691,26M $640,08M $327,04M $411,67M $947,12M $697,23M $186,81M $143,29M
RPS Revenue Per Share $38,70 $38,69 $40,50 $45,80 $39,65 $30,08 $33,69 $39,74 $33,88 $29,48 $31,52
Revenue Revenue $5,81B $5,78B $6,03B $6,79B $6,35B $4,97B $5,53B $6,64B $6,18B $5,40B $5,72B
OCF Operating Cash Flow $322,67M $-633,00M $556,00M $754,00M $820,00M $807,00M $650,00M $1,14B $639,00M $594,00M $182,00M
FCF Free Cash Flow $40,00M $-993,00M $100,67M $447,00M $543,00M $540,00M $169,00M $642,00M $228,00M $256,00M $-337,00M
OM Operating Margin -0,09% 7,61% 11,17% 11,67% 10,87% 9,58% 1,21% 18,97% 17,34% 7,98% 3,95%
GM % Gross Margin % 15,53% 19,91% 21,67% 23,79% 21,77% 21,47% 19,24% 29,69% 28,22% 20,43% 16,70%
FCFS Free Cash Flow Per Share $0,34 $-6,64 $1,25 $2,88 $3,29 $3,28 $1,03 $3,63 $1,24 $1,41 $-1,86
LT Debt Long-Term Debt $4,10B $4,02B $3,94B $3,54B $3,66B $3,94B $3,97B $3,96B $4,09B $3,53B $3,92B
Sha. Stocks 150,09M 149,44M 148,8M 148,34M 160,02M 165,17M 164,01M 167,04M 182,52M 183,15M 181,38M
×