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CC
(NYSE)
The Chemours Company
$21.55-- (--)
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The Chemours Company (CC) Key Statistics & Financial Metrics

Complete stock analysis with 40+ metrics: valuation ratios, profitability margins, financial health indicators, and dividend data.

Stock Valuation Metrics

Market value, earnings multiples, and pricing ratios

Market Valuation & Earnings Multiples

Market capitalization, P/E ratios, and enterprise value

Market Cap3.24B
Enterprise Value7.15B

Price-Based Ratios

Valuation ratios based on stock price

Price/Sales (ttm)0.56
Forward Price/Sales0.56
Price/Book (mrq)12.96
Price/Tangible Book (mrq)16.04
Price/FCF (ttm)63.53
Price/OCF (ttm)12.27

Enterprise Value Ratios

EV-based valuation multiples

EV/Revenue1.23
EV/Earnings-18.54
EV/EBITDA-98.01
EV/EBIT106.79
EV/FCF140.29

Stock Price

Current price, 52-week range, and moving averages

Current Price$21.55
1-Day Change-2.31%
52-Week High$22.43
52-Week Low$9.13
52-Week Change66.05%
YTD Change75.67%
1-Year Change64.78%
50-Day MA$18.26
200-Day MA$14.72
Avg Volume (30 day)2.50M

Share Statistics

Outstanding shares, float, and per-share metrics

Shares Outstanding150.55M
Book Value per Share$1.66
Net Cash per Share$3.76
FCF per Share$0.34

Analyst Price Targets & Consensus

Wall Street analyst ratings and 12-month price targets (90 days)

Price Target$19.43
Target Upside/Downside-9.84%
Analyst ConsensusBuy
Analyst Count7

Profitability & Financial Performance

Profit margins, return metrics, and earnings analysis

Profit Margins

Profitability margins across income statement

Gross Margin15.50%
EBITDA Margin (ttm)-1.26%
EBIT Margin (ttm)1.15%
Operating Margin (ttm)-4.73%
Pretax Margin (ttm)-4.77%
Profit Margin (ttm)-6.65%
FCF Margin (ttm)0.88%

Return on Investment Metrics

ROE, ROA, ROIC, and capital efficiency ratios

Return on Equity (ttm)-154.40%
Return on Assets (ttm)-5.23%
Return on Invested Capital (ttm)1.27%
Return on Capital Employed (ttm)1.18%

Income Statement (TTM)

Trailing twelve months revenue and earnings

Revenue5.81B
Gross Profit900.00M
Operating Income-275.00M
Pretax Income-277.00M
Net Income-386.00M
EBITDA-73.00M
EBIT67.00M
Diluted EPS$-2.56

Cash Flow (TTM)

Operating cash flow and free cash flow metrics

Operating Cash Flow264.00M
Capital Expenditures213.00M
Free Cash Flow51.00M

Growth Rates (YoY)

Year-over-year growth metrics

Revenue Growth0.45%
Dividend Growth-64.80%

Financial Health & Dividends

Balance sheet analysis, debt ratios, and dividend metrics

Assets & Cash

Total assets and cash positions

Total Assets (mrq)7.38B
Cash & Securities (mrq)670.00M
Net Cash (mrq)566.00M
Net Cash per Share$3.76

Debt & Liabilities

Liabilities, debt, equity, and working capital

Total Debt (mrq)4.58B
Working Capital (mrq)1.31B
Total Equity (mrq)250.00M
Book Value per Share$1.66

Liquidity & Leverage

Liquidity, leverage, and debt coverage ratios

Current Ratio (mrq)1.78
Quick Ratio (mrq)0.85
Debt/Equity (mrq)18.34
Debt/EBITDA (ttm)10.90
Debt/FCF (ttm)89.90

Dividend History & Payout Analysis

Dividend yield, payout ratios, and growth metrics

Dividend per Share (TTM)$0.35
Dividend Yield1.64%
Payout Ratio (FCF)103.91%
Dividend Growth (YoY)-64.80%
Ex-Dividend DateFeb 27, 2026
Pay DateMar 13, 2026
Dividend FrequencyQuarterly

Yield Metrics

Earnings, FCF, buyback, and shareholder yields

Earnings Yield-11.91%
FCF Yield1.57%
Buyback Yield0.00%
Total Shareholder Yield1.64%

Financial Health Scores

Risk assessment and quality metrics

Altman Z-Score1.53
Piotroski F-Score4/9
Dividend Score22.77

Frequently Asked Questions About The Chemours Company Statistics

What are the key financial metrics for CC?

The Chemours Company (CC) statistics include 40+ financial metrics organized into valuation ratios (P/E, P/S, P/B, PEG), profitability margins (gross, operating, net), return metrics (ROE, ROA, ROIC), and financial health indicators. These are updated regularly based on the latest filings and market data.

What is CC's valuation analysis?

The valuation section covers market capitalization, earnings multiples like trailing and forward P/E, price-based ratios (P/S, P/B, Price/FCF), and enterprise value ratios (EV/EBITDA, EV/Revenue, EV/FCF). Compare these against sector averages to assess whether The Chemours Company is overvalued or undervalued.

How do I read CC's profitability ratios?

The Chemours Company's profitability is measured through profit margins (gross, EBITDA, operating, net) and return metrics (ROE, ROA, ROIC, ROCE). Higher margins indicate better cost control, while higher returns show efficient capital deployment. The income statement and cash flow sections provide the underlying revenue and earnings data.

What do CC's debt ratios indicate?

The financial health section shows The Chemours Company's leverage through debt-to-equity, debt-to-assets, debt-to-EBITDA, and debt-to-FCF ratios, plus liquidity via the current and quick ratios. Lower debt ratios and higher liquidity ratios generally indicate stronger financial stability and lower default risk.

What is CC's dividend analysis?

The dividend section covers The Chemours Company's dividend yield, payout ratios (earnings-based and FCF-based), year-over-year dividend growth, years of consecutive growth, ex-dividend and pay dates, and payment frequency. The yield metrics section also includes earnings yield, FCF yield, buyback yield, and total shareholder yield.