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COM:CHEMOURS

Chemours

  • Stock

Last Close

20.80

22/11 21:00

Market Cap

3.45B

Beta: -

Volume Today

1.71M

Avg: -

Preview

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Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Mar '23
net income
424M
-
401M
5.42%
-90M
122.44%
7M
107.78%
747M
10,571.43%
996M
33.33%
-52M
105.22%
219M
521.15%
608M
177.63%
578M
4.93%
depreciation and amortization
261M
-
257M
1.53%
267M
3.89%
284M
6.37%
273M
3.87%
284M
4.03%
311M
9.51%
320M
2.89%
317M
0.94%
291M
8.20%
-297M
202.06%
deferred income tax
-14M
-
-22M
57.14%
-198M
800%
-111M
43.94%
83M
174.77%
23M
72.29%
-165M
817.39%
-120M
27.27%
-77M
35.83%
20M
125.97%
stock based compensation
-1M
-
-39M
3,800%
9M
123.08%
-266M
3,055.56%
-55M
79.32%
11M
120%
19M
72.73%
16M
15.79%
34M
112.50%
27M
20.59%
change in working capital
122M
-
-110M
190.16%
-27M
75.45%
484M
1,892.59%
-466M
196.28%
-206M
55.79%
138M
166.99%
356M
157.97%
27M
92.42%
-104M
485.19%
accounts receivables
-37M
-
4M
110.81%
-64M
1,700%
5M
107.81%
-88M
1,860.00%
47M
153.41%
128M
172.34%
12M
90.63%
-225M
1,975%
91M
140.44%
inventory
-75M
-
-29M
61.33%
19M
165.52%
147M
673.68%
-208M
241.50%
-297M
42.79%
116M
139.06%
126M
8.62%
-202M
260.32%
-390M
93.07%
accounts payables
234M
-
-85M
136.32%
18M
121.18%
332M
1,744.44%
-170M
151.20%
44M
125.88%
-169M
484.09%
55M
132.54%
454M
725.45%
195M
57.05%
other working capital
63M
-
163M
158.73%
other non cash items
6M
-
18M
200%
221M
1,127.78%
196M
11.31%
57M
70.92%
32M
43.86%
399M
1,146.88%
16M
95.99%
-89M
656.25%
-58M
34.83%
297M
612.07%
net cash provided by operating activities
798M
-
505M
36.72%
182M
63.96%
594M
226.37%
639M
7.58%
1.14B
78.40%
650M
42.98%
807M
24.15%
820M
1.61%
754M
8.05%
-297M
139.39%
investments in property plant and equipment
-438M
-
-604M
37.90%
-519M
14.07%
-338M
34.87%
-411M
21.60%
-498M
21.17%
-481M
3.41%
-267M
44.49%
-277M
3.75%
-307M
10.83%
acquisitions net
-8M
-
-32M
300%
-1M
96.88%
-37M
-
-10M
72.97%
5M
150%
508M
10,060%
33M
93.50%
purchases of investments
-12M
-
-5M
-
-12M
140%
sales maturities of investments
42M
-
2M
-
2M
0%
27M
-
-508M
1,981.48%
other investing activites
14M
-
52M
271.43%
12M
76.92%
708M
5,800%
39M
94.49%
46M
17.95%
8M
82.61%
6M
25%
509M
8,383.33%
-10M
101.96%
net cash used for investing activites
-424M
-
-560M
32.08%
-497M
11.25%
357M
171.83%
-370M
203.64%
-487M
31.62%
-483M
0.82%
-234M
51.55%
220M
194.02%
-284M
229.09%
debt repayment
-10M
-
-381M
3,710%
-27M
92.91%
-679M
2,414.81%
-190M
72.02%
-1.37B
621.58%
-864M
36.98%
-79M
90.86%
common stock issued
526M
-
536M
1.90%
287M
46.46%
16M
94.43%
673M
4,106.25%
51M
92.42%
common stock repurchased
-106M
-
-644M
507.55%
-322M
50%
-2M
99.38%
-173M
8,550%
-495M
186.13%
dividends paid
-105M
-
-22M
79.05%
-22M
0%
-148M
572.73%
-164M
10.81%
-164M
0%
-164M
0%
-154M
6.10%
other financing activites
-374M
-
55M
114.71%
802M
1,358.18%
7M
99.13%
-18M
357.14%
-58M
222.22%
-30M
48.28%
1.07B
3,673.33%
-32M
102.99%
-8M
75%
net cash used provided by financing activities
-374M
-
55M
114.71%
687M
1,149.09%
-396M
157.64%
353M
189.14%
-993M
381.30%
-419M
57.80%
-449M
7.16%
-560M
24.72%
-685M
22.32%
effect of forex changes on cash
-6M
-
-19M
216.67%
32M
268.42%
-15M
146.88%
-6M
60%
38M
733.33%
-34M
189.47%
-32M
5.88%
net change in cash
366M
-
536M
46.45%
654M
22.01%
-355M
154.28%
-258M
27.32%
162M
162.79%
446M
175.31%
-247M
155.38%
-297M
20.24%
cash at beginning of period
366M
-
902M
146.45%
1.56B
72.51%
1.20B
22.81%
943M
21.48%
1.10B
17.18%
1.55B
40.36%
cash at end of period
366M
-
902M
146.45%
1.56B
72.51%
1.20B
22.81%
943M
21.48%
1.10B
17.18%
1.55B
40.36%
1.30B
15.93%
-297M
122.78%
operating cash flow
798M
-
505M
36.72%
182M
63.96%
594M
226.37%
639M
7.58%
1.14B
78.40%
650M
42.98%
807M
24.15%
820M
1.61%
754M
8.05%
-297M
139.39%
capital expenditure
-438M
-
-604M
37.90%
-519M
14.07%
-338M
34.87%
-411M
21.60%
-498M
21.17%
-481M
3.41%
-267M
44.49%
-277M
3.75%
-307M
10.83%
free cash flow
360M
-
-99M
127.50%
-337M
240.40%
256M
175.96%
228M
10.94%
642M
181.58%
169M
73.68%
540M
219.53%
543M
0.56%
447M
17.68%
-297M
166.44%

All numbers in (except ratios and percentages)