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Chemours Co
NYSE:CC
07/02 10:34 EDT
15.70 USD +1.30 (+9.03%)
OPEN:
14.40
DAY RANGE:
14.40 - 15.93
PE:
6.76
PB:
4.76
PS:
0.67
WTD % -2.90
MTD % -6.19
QTD % -6.19
YTD % -20.40
* Updated at market close
Chemours Co (NYSE:CC) opened on Jul 1, 2020 at 15.48 USD and downturned by -6.19%. The intraday price range was 14.32 - 15.54 USD and eventually ended the session at 14.40 USD. The stock trade volume was 2.29 M shares. The company's 52-week range is 7.02 - 24.73 USD.
Trading Statistics (Market Close Jul 1, 2020)
Market Cap 2.36 B
Outstanding Stock 171.08 M
Dividend 0.25
Dividend Yield 4.20%
EPS 3.55
YTD Change -20.40%
52 Week's Range 7.02 - 24.73
Key Ratio & Margins (Market Close Jul 1, 2020)
Price/Earning 6.76
Price/Book Value 4.76
Price/Sales 0.67
ROA -
ROE -
Debt/Equity 8.02
Company Self Description
The Chemours Company is a global provider of performance chemicals that are key inputs in end-products and processes in a variety of industries. The company delivers customized services with a wide range of industrial and chemicals products for markets, including plastics and coatings, refrigeration and air conditioning, general industrial, electronics, mining, and oil refining. Its principal products include titanium dioxide (TiO2), refrigerants, industrial fluoropolymer resins, sodium cyanide, and performance chemicals and intermediates. It manages and reports its operating results through three reportable segments: Titanium Technologies, Fluoroproducts, and Chemical Services. It was founded in 2014 and is headquartered in Wilmington, Delaware, United States.
Business Information
Chemours Co
Sector Materials
Industry Chemicals
Exchange NYSE
Top Competitors (Market Close Jul 1, 2020)
  CC FUL POL SXT
Daily Change (%) 9.03 1.48 3.95 2.41
WTD (%) -2.90 3.18 1.07 4.15
MTD (%) -6.19 -1.68 -2.94 -0.92
QTD (%) -6.19 -1.68 -2.94 -0.92
YTD (%) -20.40 -14.97 -30.80 -21.80
52-Week Change (%) -36.09 -5.80 -17.74 -29.49
Stock Performance (Market Close Jul 1, 2020)
  CC FUL POL SXT
Daily Change (%) 9.03 1.48 3.95 2.41
WTD (%) -2.90 3.18 1.07 4.15
MTD (%) -6.19 -1.68 -2.94 -0.92
QTD (%) -6.19 -1.68 -2.94 -0.92
YTD (%) -20.40 -14.97 -30.80 -21.80
52-Week Change (%) -36.09 -5.80 -17.74 -29.49
Key Fundamentals (Market Close Jul 1, 2020)
  CC FUL POL SXT
Market Cap 2.36 B 2.25 B 2.35 B 2.19 B
Revenue Growth - - - -
Net Income Growth - - - -
Profit Margin 10.30% 4.30% 4.00% 10.90%
P/E Ratio 6.76 15.65 17.25 21.05
Price to Sales Ratio 0.67 0.68 0.69 2.29
Price to Book Ratio 4.76 2.12 4.23 2.75
Enterprise Value to EBITDA 4.63 11.07 9.89 12.04
ROA - 3.00% 5.00% 8.00%
ROE - 11.10% 24.80% 16.90%
Debt/Equity 8.02 2.62 4.04 1.12
Asset Turnover Ratio 0.79 0.71 1.24 0.74
Current Ratio 1.93 2.00 1.79 3.83
Dividend Yield 4.20% 1.60% 2.40% 1.90%
in USD
  Dec 31, 2018 Dec 31, 2017 Dec 31, 2016 Dec 31, 2015
Revenue 6.64 B 6.18 B 5.40 B 5.72 B
Cost Of Revenue 4.67 B 4.44 B 4.30 B 4.76 B
Gross Profit 1.97 B 1.75 B 1.10 B 955.00 M
Selling General & Administrative Expenses 657.00 M 626.00 M 946.00 M 632.00 M
Research & Development 82.00 M 81.00 M 81.00 M 97.00 M
Operating Income 1.18 B 981.00 M -94.00 M -132.00 M
Net Income 995.00 M 746.00 M 7.00 M -90.00 M
EPS 5.62 4.04 0.04 -0.50
Diluted EPS 5.45 3.91 0.04 -0.50
  Jun 30, 2019 Mar 31, 2019 Dec 31, 2018 Sep 30, 2018
Revenue 1.41 B 1.38 B 1.46 B 1.63 B
Cost Of Revenue 1.09 B 1.08 B 1.06 B 1.15 B
Gross Profit 323.00 M 296.00 M 400.00 M 477.00 M
Selling General & Administrative Expenses 136.00 M 156.00 M 191.00 M 163.00 M
Research & Development 19.00 M 22.00 M 21.00 M 20.00 M
Operating Income 161.00 M 110.00 M 171.00 M 282.00 M
Net Income 96.00 M 94.00 M 142.00 M 275.00 M
EPS 0.58 0.56 0.85 1.56
Diluted EPS 0.57 0.55 0.83 1.51
in USD
  Dec 31, 2018 Dec 31, 2017 Dec 31, 2016 Dec 31, 2015
Total Current Assets 3.29 B 3.49 B 2.55 B 2.30 B
Cash & Cash Equivalents 1.20 B 1.56 B 902.00 M 366.00 M
Total Assets 7.36 B 7.29 B 6.06 B 6.30 B
Total Current Liabilities 1.71 B 1.65 B 1.77 B 1.47 B
Total Liabilities 6.34 B 6.43 B 5.96 B 6.17 B
Shareholder's Equity 1.01 B 860.00 M 100.00 M 126.00 M
Outstanding Stock 171.08 M 185.16 M 181.83 M 180.98 M
  Jun 30, 2019 Mar 31, 2019 Dec 31, 2018 Sep 30, 2018
Total Current Assets 2.83 B 2.85 B 3.29 B 3.45 B
Cash & Cash Equivalents 630.00 M 697.00 M 1.20 B 1.28 B
Total Assets 7.43 B 7.33 B 7.36 B 7.51 B
Total Current Liabilities 1.45 B 1.57 B 1.71 B 1.70 B
Total Liabilities 6.60 B 6.51 B 6.34 B 6.37 B
Shareholder's Equity 823.00 M 810.00 M 1.01 B 1.14 B
Outstanding Stock 163.96 M 167.04 M 171.08 M 176.85 M
in USD
  Dec 31, 2018 Dec 31, 2017 Dec 31, 2016 Dec 31, 2015
Net Cash Flow from Operations 1.14 B 640.00 M 594.00 M 182.00 M
Capital Expenditures -498.00 M -411.00 M -338.00 M -519.00 M
Net Cash Flow from Investing Activities -487.00 M -370.00 M 357.00 M -497.00 M
Net Cash Flow from Financial Activities -993.00 M 352.00 M -396.00 M 687.00 M
Free Cash Flow 642.00 M 229.00 M 256.00 M -337.00 M
  Jun 30, 2019 Mar 31, 2019 Dec 31, 2018 Sep 30, 2018
Net Cash Flow from Operations 6.00 M 640.00 M 594.00 M 182.00 M
Capital Expenditures -124.00 M -133.00 M -154.00 M -116.00 M
Net Cash Flow from Investing Activities -122.00 M -134.00 M -160.00 M -97.00 M
Net Cash Flow from Financial Activities 41.00 M -324.00 M -170.00 M -182.00 M
Free Cash Flow -118.00 M -177.00 M 105.00 M 226.00 M
Key Ratios (Market Close Jul 1, 2020)
Valuation Ratios 2020 2019 2018 2017
P/E Ratio 6.76 8.17 5.02 6.57
Price to Sales Ratio 0.67 0.99 0.73 1.03
Price to Book Ratio 4.76 10.78 40.17 7.70
Enterprise Value to EBIT 6.00 11.00 33.00 -84.00
Enterprise Value to EBITDA 4.63 8.46 13.83 22.36
Profitability Ratios 2020 2019 2018 2017
Revenue Growth - - - -
Net Income Growth - - - -
ROA - - 13.40% 10.80%
ROE - - 95.40% 115.70%
Liquidity Ratios 2020 2019 2018 2017
Working Capital 1.58 B 1.85 B 782.00 M 835.00 M
Current Ratio 1.93 2.12 1.44 1.57
Efficiency & Capital Structure Ratios 2020 2019 2018 2017
Debt Equity Ratio 8.02 7.47 59.56 48.95
Asset Turnover Ratio - - 0.89 0.89
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