CC
Chemours (CC)
NYSE
$20.07-$1.39 (-6.48%)
Price as of Jun 23, 2026 7:08 PM EDT
  • $3.2B
    Market Cap
  • 106.87%
    1-Year Change
  • Specialty Chemicals
    Industry
Annual
Quarterly
12/31/2025
12/31/2024
12/31/2023
12/31/2022
Income Statement
Total Operating Revenue
5.8B
+0.45%
5.8B
-4.07%
6.0B
-11.29%
6.8B
+7.08%
Cost of Revenue
4.9B
+5.94%
4.6B
-1.91%
4.7B
-8.83%
5.2B
+4.31%
Gross Profit
902.0M
-21.63%
1.2B
-11.87%
1.3B
-19.18%
1.6B
+17.02%
Sales and Marketing Expense
799.0M
+36.58%
585.0M
-54.65%
1.3B
+81.69%
710.0M
+19.93%
Research and Development Expense
-108.0M
-0.92%
-109.0M
+0.93%
-108.0M
-8.47%
-118.0M
+10.28%
Depreciation and Amortization Expense
340.0M
+12.96%
301.0M
-1.95%
307.0M
+5.50%
291.0M
-8.20%
Total Operating Expenses
966.0M
+19.26%
810.0M
-47.78%
1.6B
+83.77%
844.0M
+19.72%
Operating Profit
-277.0M
-318.11%
127.0M
+139.94%
-318.0M
-142.91%
741.0M
+9.62%
Interest Income
N/A
N/A
N/A
N/A
N/A
N/A
N/A
N/A
Interest Expense
-269.0M
+1.89%
-264.0M
+26.92%
-208.0M
+27.61%
-163.0M
-11.89%
Interest Income and Expense and Net
-269.0M
+1.89%
-264.0M
+26.92%
-208.0M
+27.61%
-163.0M
-11.89%
Total Nonoperating Income and Expense
26.0M
+225.00%
8.0M
-91.21%
91.0M
+30.00%
70.0M
-57.06%
Income before Taxes
-277.0M
-318.11%
127.0M
+139.94%
-318.0M
-142.91%
741.0M
+9.62%
Income Taxes
109.0M
+165.85%
41.0M
+150.62%
-81.0M
-149.69%
163.0M
+139.71%
Extraordinary Items
27.0M
0.00%
27.0M
-72.16%
97.0M
+1,840.00%
5.0M
N/A
Net Income
-386.0M
-548.84%
86.0M
+136.13%
-238.0M
-141.18%
578.0M
-4.93%
Net Income from Continuing Operations Applicable to Common
-277.0M
-318.11%
127.0M
+139.94%
-318.0M
-142.91%
741.0M
+9.62%
Basic EPS and Net Income
-2.57
-543.10%
0.58
+136.25%
-1.60
-143.01%
3.72
+0.81%
Diluted EPS and Net Income
-2.57
-550.88%
0.57
+135.63%
-1.60
-143.84%
3.65
+1.39%
Basic Weighted Average Shares
150.2M
+0.50%
149.5M
+0.39%
148.9M
-4.15%
155.4M
-5.81%
Diluted Weighted Average Shares
150.2M
+0.04%
150.2M
+0.85%
148.9M
-5.93%
158.3M
-6.16%
Balance Sheet
Cash and Cash Equivalents
670.0M
-6.03%
713.0M
-40.73%
1.2B
+9.17%
1.1B
-24.05%
Short-Term Investments
N/A
N/A
N/A
N/A
N/A
N/A
N/A
N/A
Cash and Cash Equivalents and Short-Term Investments
670.0M
-6.03%
713.0M
-40.73%
1.2B
+9.17%
1.1B
-24.05%
Total Current Assets
3.0B
-0.83%
3.0B
-21.10%
3.8B
+19.32%
3.2B
-3.92%
Accumulated Depreciation
6.8B
+7.09%
6.4B
+3.11%
6.2B
-0.32%
6.2B
+2.27%
Property and Plant and Equipment and Net
3.1B
-3.30%
3.2B
-1.03%
3.2B
+1.42%
3.2B
+0.54%
Total Long-Term Assets
751.0M
-5.77%
797.0M
+17.73%
677.0M
+29.45%
523.0M
+17.00%
Total Assets
7.4B
-1.77%
7.5B
-8.92%
8.3B
+8.00%
7.6B
+1.19%
Income Taxes Payable
37.0M
+5.71%
35.0M
-20.45%
44.0M
-27.87%
61.0M
+24.49%
Total Short-Term Debt
42.0M
-22.22%
54.0M
+5.88%
51.0M
+104.00%
25.0M
0.00%
Total Current Liabilities
1.7B
-6.49%
1.8B
-27.47%
2.5B
+31.46%
1.9B
+1.78%
Total Long-Term Debt
4.1B
+1.11%
4.1B
+1.68%
4.0B
+11.06%
3.6B
-3.60%
Total Long-Term Liabilities
588.0M
+59.78%
368.0M
+12.20%
328.0M
+2.82%
319.0M
+18.59%
Total Liabilities
7.1B
+3.20%
6.9B
-8.01%
7.5B
+14.99%
6.5B
+1.00%
Retained Earnings
1.2B
-28.99%
1.7B
-3.59%
1.8B
-17.88%
2.2B
+24.28%
Total Stockholders Equity
250.0M
-58.61%
604.0M
-18.05%
737.0M
-33.42%
1.1B
+2.41%
Total Shares Outstanding
149.9M
+0.31%
149.4M
+0.57%
148.6M
+0.06%
148.5M
-7.79%
Cash Flow
Cash from Operating Activities
264.0M
+141.71%
-633.0M
-213.85%
556.0M
-26.26%
754.0M
-8.05%
Capital Expenditures
213.0M
-40.83%
360.0M
-2.70%
370.0M
+20.52%
307.0M
+10.83%
Cash from Investing Activities
-206.0M
-41.64%
-353.0M
+54.15%
-229.0M
-19.37%
-284.0M
-229.09%
Dividends Paid
78.0M
-47.30%
148.0M
-0.67%
149.0M
-3.25%
154.0M
-6.10%
Cash from Financing Activities
-126.0M
+250.00%
-36.0M
-120.93%
172.0M
+125.11%
-685.0M
+22.32%
Financials Ratio
Gross Margin
15.53%
-21.98%
19.91%
-8.13%
21.67%
-8.90%
23.79%
+9.28%
Operating Margin
-4.77%
-317.13%
2.20%
+141.63%
-5.28%
-148.38%
10.91%
+2.37%
Return on Assets
-5.18%
-575.00%
1.09%
+136.42%
-3.00%
-139.36%
7.61%
-8.43%
Return on Equity
-90.40%
-804.79%
12.83%
+149.69%
-25.81%
-148.86%
52.83%
-17.71%
Revenue Growth
0.45%
+111.06%
-4.06%
-63.99%
-11.29%
-259.54%
7.08%
-74.45%
Current Ratio
1.78
+6.06%
1.68
+8.80%
1.54
-9.24%
1.70
-5.59%
Cash Ratio
0.40
+0.48%
0.40
-18.27%
0.48
-16.97%
0.58
-25.37%
Debt-to-Equity Ratio
16.56
+143.54%
6.80
+24.13%
5.48
+67.78%
3.27
-5.84%
Debt-to-Assets Ratio
0.56
+2.63%
0.55
+11.69%
0.49
+3.42%
0.47
-4.71%

Earnings & Revenue History

Debt-to-Assets

Cash Flow