bf/NYSE:CC_icon.png

NYSE:CC

The Chemours Company

  • Stock

USD

Last Close

29.13

16/05 20:00

Market Cap

4.64B

Beta: 1.87

Volume Today

763.44K

Avg: 1.11M

PE Ratio

−14.49

PFCF: −63.69

Dividend Yield

3.33%

Payout:−48.38%

Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Mar '23
Dec '23
asset turnover
1.22
-
1.08
11.83%
0.91
15.63%
0.89
1.84%
0.85
4.86%
0.90
6.35%
0.76
15.56%
0.70
7.84%
0.84
19.78%
0.89
5.82%
0.73
-
cash conversion cycle
46.08
-
50.61
9.84%
56.91
12.45%
44.59
21.65%
42.71
4.21%
48.13
12.67%
57.28
19.02%
48.67
15.03%
36.79
24.41%
44.42
20.74%
51.86
-
cash per share
2.02
-
4.97
145.60%
8.42
69.50%
6.79
19.38%
5.72
15.69%
6.71
17.28%
8.80
31.10%
7.09
19.37%
company equity multiplier
1.72
-
1.63
5.04%
49.98
2,967.78%
60.60
21.24%
8.48
86.01%
7.26
14.38%
10.53
45.09%
8.71
17.31%
6.98
19.82%
6.90
1.18%
11.20
-
days of inventory outstanding
71.38
-
75.71
6.07%
74.50
1.59%
65.26
12.41%
77.05
18.08%
89.71
16.42%
88.24
1.63%
87.84
0.46%
80.81
8.00%
98.97
22.47%
104.53
-
days of payables outstanding
69.41
-
72.25
4.09%
72.43
0.25%
75.21
3.84%
88.59
17.79%
88.92
0.37%
75.49
15.11%
76.70
1.61%
85.44
11.39%
88.18
3.21%
89.61
-
days of sales outstanding
44.12
-
47.16
6.90%
54.84
16.30%
54.55
0.54%
54.25
0.54%
47.34
12.73%
44.52
5.97%
37.54
15.69%
41.42
10.34%
33.63
18.80%
36.94
-
dividend yield
0.11
-
0.01
94.93%
0.00
56.64%
0.03
1,146.47%
0.06
85.61%
0.04
26.97%
0.03
26.25%
0.03
9.27%
ebit per revenue
0.08
-
0.08
6.64%
0.04
52.21%
0.02
55.03%
0.17
875.25%
0.19
7.05%
0.03
83.33%
0.10
231.03%
0.14
36.63%
0.13
3.98%
-0.02
-
ebt per ebit
1.08
-
1.03
4.51%
-0.83
180.46%
-0.11
86.23%
0.85
842.47%
0.94
10.20%
-0.73
177.35%
0.35
148.50%
0.76
116.47%
0.81
6.61%
3.46
-
effective tax rate
0.26
-
0.27
2.66%
0.52
92.42%
1.64
213.91%
0.18
88.94%
0.14
23.91%
0.58
321.79%
-0.22
138.49%
0.10
145.01%
0.22
118.68%
0.25
-
enterprise value multiple
4.58
-
4.52
1.20%
8.15
80.27%
10.14
24.40%
8.11
20.09%
4.51
44.33%
13.37
196.29%
8.75
34.54%
6.65
24.01%
6.20
6.72%
-33.05
-
fixed asset turnover
2.31
-
1.94
15.75%
1.80
7.45%
1.94
7.79%
2.06
5.97%
2.02
1.87%
1.43
28.89%
1.34
6.61%
1.88
40.12%
1.99
6.13%
1.73
-
free cash flow per share
1.98
-
-0.55
127.50%
-1.86
241.11%
1.41
175.70%
1.23
12.49%
3.63
194.11%
1.03
71.74%
3.28
219.79%
3.29
0.40%
2.88
12.60%
gross profit margin
0.21
-
0.21
0.94%
0.17
21.00%
0.21
23.05%
0.28
38.01%
0.30
4.67%
0.19
35.22%
0.21
11.63%
0.22
1.36%
0.24
9.28%
0.22
-
interest coverage
1.71
-
0.45
73.68%
4.99
1,006.28%
6.32
26.71%
0.82
86.99%
2.42
194.83%
4.80
98.04%
5.60
16.69%
0.44
-
inventory turnover
5.11
-
4.82
5.72%
4.90
1.62%
5.59
14.17%
4.74
15.31%
4.07
14.10%
4.14
1.66%
4.16
0.47%
4.52
8.70%
3.69
18.35%
3.49
-
long term debt to capitalization
0.11
-
0.10
9.42%
0.97
841.20%
0.97
0.37%
0.83
15.01%
0.80
3.68%
0.86
8.16%
0.84
2.71%
0.78
6.53%
0.77
1.18%
0.85
-
net income per ebt
0.73
-
0.73
0.97%
0.48
34.18%
-0.64
232.93%
0.82
228.54%
0.86
5.32%
0.42
51.32%
1.22
191.75%
0.90
26.49%
0.78
13.27%
0.75
-
net profit margin
0.06
-
0.06
0.84%
-0.02
125.31%
0.00
108.23%
0.12
9,207.55%
0.15
24.24%
-0.01
106.28%
0.04
568.36%
0.10
117.42%
0.09
11.22%
-0.04
-
operating cash flow per share
4.40
-
2.78
36.72%
1.01
63.89%
3.27
225.25%
3.46
5.70%
6.44
86.34%
3.94
38.78%
4.90
24.26%
4.97
1.45%
4.85
2.38%
operating cycle
115.49
-
122.86
6.38%
129.34
5.28%
119.80
7.38%
131.31
9.60%
137.05
4.37%
132.76
3.13%
125.37
5.57%
122.23
2.51%
132.60
8.49%
141.47
-
operating profit margin
0.08
-
0.08
6.64%
0.04
52.21%
0.02
55.03%
0.17
875.25%
0.19
7.05%
0.03
83.33%
0.10
231.03%
0.14
36.63%
0.13
3.98%
-0.02
-
payables turnover
5.26
-
5.05
3.93%
5.04
0.25%
4.85
3.70%
4.12
15.10%
4.10
0.37%
4.84
17.80%
4.76
1.59%
4.27
10.23%
4.14
3.11%
4.07
-
pretax profit margin
0.08
-
0.09
1.83%
-0.03
138.46%
-0.00
93.81%
0.15
7,340.97%
0.17
17.96%
-0.02
112.90%
0.04
260.54%
0.11
195.75%
0.11
2.37%
-0.05
-
price fair value
1.15
-
1.03
10.71%
7.70
647.03%
40.12
421.08%
10.76
73.18%
4.93
54.23%
4.33
12.14%
5.02
16.04%
5.12
1.98%
4.30
16.08%
receivables turnover
8.27
-
7.74
6.45%
6.66
14.01%
6.69
0.54%
6.73
0.55%
7.71
14.59%
8.20
6.34%
9.72
18.60%
8.81
9.37%
10.85
23.16%
9.88
-
return on assets
0.08
-
0.07
11.08%
-0.01
121.36%
0.00
108.08%
0.10
8,755.38%
0.14
32.13%
-0.01
105.30%
0.03
531.62%
0.08
160.42%
0.08
6.05%
-0.03
-
return on capital employed
0.13
-
0.12
9.21%
0.05
59.81%
0.02
52.14%
0.19
748.43%
0.22
14.76%
0.03
86.28%
0.09
201.72%
0.16
72.87%
0.16
1.80%
-0.02
-
return on equity
0.13
-
0.11
15.57%
-0.71
755.18%
0.07
109.80%
0.87
1,139.20%
0.98
13.12%
-0.08
107.69%
0.27
456.92%
0.56
108.80%
0.52
7.17%
-0.32
-
total debt to capitalization
0.19
-
0.16
16.04%
0.97
518.27%
0.97
0.35%
0.83
14.96%
0.80
3.68%
0.86
8.55%
0.84
2.83%
0.78
6.67%
0.78
1.17%
0.85
-

All numbers in USD (except ratios and percentages)