The Chemours Co (USD)
CC
Overview
Key Information
Legal Documents
Financials

Overview

SectorBasic Materials
Industry-
Day Range19.78 | 20.55
52-Wk Range- | -
Last Close20.21
Mkt Cap (m)3,319.30
Dividend yield4.95
ISINUS1638511089
Volume569,584.00
Exchange VenueNYS

Company Profile

The Chemours Co is a chemical manufacturing company that produces and develops titanium technologies, fluoroproducts and chemical solutions. It also produces refrigerants and industrial resins.

Key Information
Price/Earning-
Price/Book5.05
Price/Sales0.65
P/CF3.93
Rev Growth (3 year avg)0.77
EPS Growth (3 year avg)-
Operating Margin % 7.46
Net Margin %-0.94
Return on Equity-6.11
Debt/Equity6.49

Documents

Prospectus
en 24/05/2018
Annual Report
en 31/12/2019

Please refer to the below issuer website for further documents.

https://www.chemours.com

Financials

Income Statement
USD201420152016201720182019
Revenue (m)6,432.005,717.005,400.006,183.006,638.005,526.00
Operating Income (m)532.00226.0096.001,072.001,232.00412.00
Net Income (m)400.00-90.007.00746.00995.00-52.00
Basic EPS1.50-0.500.044.045.62-0.32
Avg. Diluted Shares Outstanding (m)184.38180.99183.42190.98182.57164.82
Balance Sheet
USD201420152016201720182019
Current Assets (m)1,962.002,301.002,553.003,493.003,293.002,777.00
Non Current Assets (m)4,016.003,997.003,507.003,800.004,069.004,481.00
Total Assets (m)5,978.006,298.006,060.007,293.007,362.007,258.00
Current Liabilities (m)1,407.001,466.001,771.001,648.001,709.001,541.00
Total Liabilities (m)------
Total Equity (m)3,669.00126.00100.00860.001,014.00689.00
Cash Flows
USD201420152016201720182019
Operating Cash Flows (m)505.00182.00594.00639.001,140.00650.00
Capital Expenditure (m)-604.00-519.00-338.00-411.00-498.00-481.00
Figures are quoted in USD unless stated otherwise
-0.39 (-1.93%)
$
19.82
Last Price