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CC The Chemours

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  • 20.560
  • -0.160-0.77%
Trading Sep 30 10:15 ET
3.07BMarket Cap27.05P/E (TTM)

The Chemours Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-18.16%604M
-8.58%746M
9.17%1.2B
9.17%1.2B
-26.99%852M
-40.87%738M
-28.73%816M
-24.05%1.1B
-24.05%1.1B
13.19%1.17B
-Cash and cash equivalents
-18.16%604M
-8.58%746M
9.17%1.2B
9.17%1.2B
-26.99%852M
-40.87%738M
-28.73%816M
-24.05%1.1B
-24.05%1.1B
13.19%1.17B
Receivables
0.67%896M
-5.38%792M
-2.56%610M
-2.56%610M
-13.67%846M
-16.51%890M
-17.46%837M
-13.06%626M
-13.06%626M
17.93%980M
-Accounts receivable
0.77%788M
-4.16%692M
0.00%509M
0.00%509M
-10.78%753M
-15.28%782M
-18.33%722M
-20.96%509M
-20.96%509M
12.23%844M
-Taxes receivable
-5.43%87M
-7.95%81M
-7.95%81M
-7.95%81M
4.35%72M
64.29%92M
46.67%88M
114.63%88M
114.63%88M
30.19%69M
-Other receivables
31.25%21M
-29.63%19M
-31.03%20M
-31.03%20M
-68.66%21M
-81.61%16M
-61.43%27M
-17.14%29M
-17.14%29M
157.69%67M
Inventory
-5.39%1.37B
-6.39%1.39B
-3.70%1.35B
-3.70%1.35B
-0.53%1.31B
18.62%1.45B
27.44%1.49B
27.75%1.4B
27.75%1.4B
30.02%1.32B
Restricted cash
-92.75%15M
--607M
--604M
--604M
--595M
--207M
----
--0
--0
----
Other current assets
-15.63%54M
-3.17%61M
-19.51%66M
-19.51%66M
1.33%76M
-12.33%64M
-7.35%63M
9.33%82M
9.33%82M
-7.41%75M
Total current assets
-12.95%2.94B
12.34%3.6B
19.32%3.84B
19.32%3.84B
3.95%3.68B
-6.43%3.37B
-5.63%3.2B
-3.92%3.21B
-3.92%3.21B
5.10%3.54B
Non current assets
Net PPE
-0.76%3.41B
1.26%3.46B
1.91%3.48B
1.91%3.48B
2.24%3.38B
3.09%3.43B
1.85%3.42B
0.89%3.41B
0.89%3.41B
-1.11%3.3B
-Gross PPE
-1.03%9.69B
-0.41%9.7B
0.47%9.65B
0.47%9.65B
0.88%9.5B
3.25%9.79B
2.72%9.74B
1.52%9.6B
1.52%9.6B
-0.02%9.42B
-Accumulated depreciation
1.18%-6.28B
1.31%-6.24B
0.32%-6.17B
0.32%-6.17B
-0.15%-6.12B
-3.33%-6.36B
-3.20%-6.32B
-1.88%-6.19B
-1.88%-6.19B
-0.58%-6.12B
Goodwill and other intangible assets
-4.55%105M
-6.25%105M
-8.70%105M
-8.70%105M
-8.55%107M
-4.35%110M
4.67%112M
6.48%115M
6.48%115M
6.36%117M
-Goodwill
0.00%102M
0.00%102M
0.00%102M
0.00%102M
0.00%102M
0.00%102M
0.00%102M
0.00%102M
0.00%102M
0.00%102M
-Other intangible assets
-62.50%3M
-70.00%3M
-76.92%3M
-76.92%3M
-66.67%5M
-38.46%8M
100.00%10M
116.67%13M
116.67%13M
87.50%15M
Investments and advances
-10.58%169M
-10.81%165M
-9.71%158M
-9.71%158M
3.23%192M
6.78%189M
8.82%185M
3.55%175M
3.55%175M
-2.11%186M
Non current deferred assets
31.17%303M
92.95%301M
99.34%303M
99.34%303M
103.68%277M
35.88%231M
4.70%156M
-11.11%152M
-11.11%152M
-13.92%136M
Defined pension benefit
18.52%64M
14.81%62M
14.00%57M
14.00%57M
1.92%53M
-3.57%54M
-3.57%54M
-9.09%50M
-9.09%50M
-38.10%52M
Other non current assets
-1.87%263M
-42.25%287M
-39.39%317M
-39.39%317M
-36.52%259M
-2.55%268M
69.62%497M
62.93%523M
62.93%523M
47.29%408M
Total non current assets
0.61%4.31B
-0.93%4.38B
-0.23%4.42B
-0.23%4.42B
1.50%4.27B
3.93%4.29B
7.04%4.42B
5.26%4.43B
5.26%4.43B
1.03%4.2B
Total assets
-5.37%7.25B
4.64%7.98B
8.00%8.25B
8.00%8.25B
2.62%7.95B
-0.91%7.66B
1.33%7.62B
1.19%7.64B
1.19%7.64B
2.86%7.75B
Liabilities
Current liabilities
Payables
-7.85%951M
-17.51%989M
-5.19%1.19B
-5.19%1.19B
-26.05%968M
-19.63%1.03B
-1.40%1.2B
3.90%1.25B
3.90%1.25B
12.84%1.31B
-accounts payable
-6.95%911M
-17.78%939M
-6.28%1.13B
-6.28%1.13B
-30.87%878M
-21.62%979M
-2.23%1.14B
6.05%1.21B
6.05%1.21B
17.05%1.27B
-Total tax payable
-24.53%40M
-12.28%50M
26.19%53M
26.19%53M
130.77%90M
51.43%53M
18.75%57M
-34.38%42M
-34.38%42M
-48.00%39M
Current accrued expenses
-64.00%302M
350.00%927M
331.08%957M
331.08%957M
311.87%902M
405.42%839M
10.16%206M
76.19%222M
76.19%222M
0.46%219M
Current provisions
-13.50%141M
-21.98%142M
-27.94%147M
-27.94%147M
-30.77%153M
-34.54%163M
-7.14%182M
9.09%204M
9.09%204M
26.29%221M
Current debt and capital lease obligation
15.38%90M
25.33%94M
15.22%106M
15.22%106M
8.33%78M
2.63%78M
-2.60%75M
9.52%92M
9.52%92M
-2.70%72M
-Current debt
48.00%37M
64.00%41M
18.60%51M
18.60%51M
-4.17%23M
4.17%25M
4.17%25M
72.00%43M
72.00%43M
-4.00%24M
-Current capital lease obligation
0.00%53M
6.00%53M
12.24%55M
12.24%55M
14.58%55M
1.92%53M
-5.66%50M
-16.95%49M
-16.95%49M
-2.04%48M
Current liabilities
-28.90%1.56B
27.85%2.23B
31.46%2.49B
31.46%2.49B
12.51%2.2B
16.12%2.19B
-1.69%1.75B
1.78%1.89B
1.78%1.89B
9.67%1.95B
Non current liabilities
Long term provisions
-4.40%522M
-5.08%523M
-3.47%528M
-3.47%528M
-2.37%536M
1.87%546M
22.99%551M
21.29%547M
21.29%547M
19.87%549M
Long term debt and capital lease obligation
9.11%4.15B
9.80%4.17B
10.69%4.19B
10.69%4.19B
12.13%4.15B
-0.89%3.8B
-2.14%3.79B
-2.95%3.79B
-2.95%3.79B
-7.57%3.7B
-Long term debt
9.63%3.95B
10.25%3.97B
11.06%3.99B
11.06%3.99B
12.36%3.94B
-1.42%3.6B
-2.52%3.6B
-3.60%3.59B
-3.60%3.59B
-8.33%3.51B
-Long term capital lease obligation
-0.51%195M
1.54%198M
4.04%206M
4.04%206M
7.81%207M
10.11%196M
5.41%195M
10.61%198M
10.61%198M
9.09%192M
Non current deferred liabilities
-29.31%41M
-26.67%44M
-27.87%44M
-27.87%44M
1.89%54M
7.41%58M
15.38%60M
24.49%61M
24.49%61M
-14.52%53M
Non current accrued expenses
22.03%72M
33.33%72M
32.73%73M
32.73%73M
29.41%66M
18.00%59M
10.20%54M
10.00%55M
10.00%55M
-1.92%51M
Employee benefits
-12.35%71M
-7.41%75M
-8.54%75M
-8.54%75M
15.12%99M
-10.00%81M
-11.96%81M
-12.77%82M
-12.77%82M
-17.31%86M
Other non current liabilities
-0.86%115M
1.80%113M
3.67%113M
3.67%113M
32.35%90M
78.46%116M
73.44%111M
73.02%109M
73.02%109M
-4.23%68M
Total non current liabilities
6.59%4.97B
7.35%4.99B
8.27%5.03B
8.27%5.03B
10.80%5B
0.67%4.66B
1.51%4.65B
0.69%4.64B
0.69%4.64B
-5.11%4.51B
Total liabilities
-4.76%6.52B
12.95%7.22B
14.99%7.51B
14.99%7.51B
11.32%7.19B
5.14%6.85B
0.61%6.4B
1.00%6.53B
1.00%6.53B
-1.09%6.46B
Shareholders'equity
Share capital
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
-common stock
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
Retained earnings
-1.93%1.83B
-21.12%1.8B
-17.88%1.78B
-17.88%1.78B
-19.92%1.85B
-11.32%1.86B
17.42%2.28B
24.28%2.17B
24.28%2.17B
48.26%2.3B
Paid-in capital
3.06%1.05B
2.89%1.03B
1.67%1.03B
1.67%1.03B
1.48%1.03B
0.90%1.01B
5.02%1B
7.63%1.02B
7.63%1.02B
9.61%1.02B
Less: Treasury stock
0.84%1.81B
3.14%1.81B
3.91%1.81B
3.91%1.81B
12.66%1.81B
18.00%1.79B
25.70%1.75B
39.37%1.74B
39.37%1.74B
39.24%1.6B
Gains losses not affecting retained earnings
-23.05%-347M
10.46%-274M
20.12%-274M
20.12%-274M
27.25%-315M
25.40%-282M
9.73%-306M
5.77%-343M
5.77%-343M
-30.42%-433M
Total stockholders'equity
-10.52%723M
-38.71%752M
-33.42%737M
-33.42%737M
-41.20%755M
-33.44%808M
5.23%1.23B
2.41%1.11B
2.41%1.11B
28.66%1.28B
Noncontrolling interests
0.00%2M
100.00%2M
--2M
--2M
100.00%2M
100.00%2M
0.00%1M
--0
--0
0.00%1M
Total equity
-10.49%725M
-38.60%754M
-33.24%739M
-33.24%739M
-41.09%757M
-33.33%810M
5.23%1.23B
2.31%1.11B
2.31%1.11B
28.63%1.29B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -18.16%604M-8.58%746M9.17%1.2B9.17%1.2B-26.99%852M-40.87%738M-28.73%816M-24.05%1.1B-24.05%1.1B13.19%1.17B
-Cash and cash equivalents -18.16%604M-8.58%746M9.17%1.2B9.17%1.2B-26.99%852M-40.87%738M-28.73%816M-24.05%1.1B-24.05%1.1B13.19%1.17B
Receivables 0.67%896M-5.38%792M-2.56%610M-2.56%610M-13.67%846M-16.51%890M-17.46%837M-13.06%626M-13.06%626M17.93%980M
-Accounts receivable 0.77%788M-4.16%692M0.00%509M0.00%509M-10.78%753M-15.28%782M-18.33%722M-20.96%509M-20.96%509M12.23%844M
-Taxes receivable -5.43%87M-7.95%81M-7.95%81M-7.95%81M4.35%72M64.29%92M46.67%88M114.63%88M114.63%88M30.19%69M
-Other receivables 31.25%21M-29.63%19M-31.03%20M-31.03%20M-68.66%21M-81.61%16M-61.43%27M-17.14%29M-17.14%29M157.69%67M
Inventory -5.39%1.37B-6.39%1.39B-3.70%1.35B-3.70%1.35B-0.53%1.31B18.62%1.45B27.44%1.49B27.75%1.4B27.75%1.4B30.02%1.32B
Restricted cash -92.75%15M--607M--604M--604M--595M--207M------0--0----
Other current assets -15.63%54M-3.17%61M-19.51%66M-19.51%66M1.33%76M-12.33%64M-7.35%63M9.33%82M9.33%82M-7.41%75M
Total current assets -12.95%2.94B12.34%3.6B19.32%3.84B19.32%3.84B3.95%3.68B-6.43%3.37B-5.63%3.2B-3.92%3.21B-3.92%3.21B5.10%3.54B
Non current assets
Net PPE -0.76%3.41B1.26%3.46B1.91%3.48B1.91%3.48B2.24%3.38B3.09%3.43B1.85%3.42B0.89%3.41B0.89%3.41B-1.11%3.3B
-Gross PPE -1.03%9.69B-0.41%9.7B0.47%9.65B0.47%9.65B0.88%9.5B3.25%9.79B2.72%9.74B1.52%9.6B1.52%9.6B-0.02%9.42B
-Accumulated depreciation 1.18%-6.28B1.31%-6.24B0.32%-6.17B0.32%-6.17B-0.15%-6.12B-3.33%-6.36B-3.20%-6.32B-1.88%-6.19B-1.88%-6.19B-0.58%-6.12B
Goodwill and other intangible assets -4.55%105M-6.25%105M-8.70%105M-8.70%105M-8.55%107M-4.35%110M4.67%112M6.48%115M6.48%115M6.36%117M
-Goodwill 0.00%102M0.00%102M0.00%102M0.00%102M0.00%102M0.00%102M0.00%102M0.00%102M0.00%102M0.00%102M
-Other intangible assets -62.50%3M-70.00%3M-76.92%3M-76.92%3M-66.67%5M-38.46%8M100.00%10M116.67%13M116.67%13M87.50%15M
Investments and advances -10.58%169M-10.81%165M-9.71%158M-9.71%158M3.23%192M6.78%189M8.82%185M3.55%175M3.55%175M-2.11%186M
Non current deferred assets 31.17%303M92.95%301M99.34%303M99.34%303M103.68%277M35.88%231M4.70%156M-11.11%152M-11.11%152M-13.92%136M
Defined pension benefit 18.52%64M14.81%62M14.00%57M14.00%57M1.92%53M-3.57%54M-3.57%54M-9.09%50M-9.09%50M-38.10%52M
Other non current assets -1.87%263M-42.25%287M-39.39%317M-39.39%317M-36.52%259M-2.55%268M69.62%497M62.93%523M62.93%523M47.29%408M
Total non current assets 0.61%4.31B-0.93%4.38B-0.23%4.42B-0.23%4.42B1.50%4.27B3.93%4.29B7.04%4.42B5.26%4.43B5.26%4.43B1.03%4.2B
Total assets -5.37%7.25B4.64%7.98B8.00%8.25B8.00%8.25B2.62%7.95B-0.91%7.66B1.33%7.62B1.19%7.64B1.19%7.64B2.86%7.75B
Liabilities
Current liabilities
Payables -7.85%951M-17.51%989M-5.19%1.19B-5.19%1.19B-26.05%968M-19.63%1.03B-1.40%1.2B3.90%1.25B3.90%1.25B12.84%1.31B
-accounts payable -6.95%911M-17.78%939M-6.28%1.13B-6.28%1.13B-30.87%878M-21.62%979M-2.23%1.14B6.05%1.21B6.05%1.21B17.05%1.27B
-Total tax payable -24.53%40M-12.28%50M26.19%53M26.19%53M130.77%90M51.43%53M18.75%57M-34.38%42M-34.38%42M-48.00%39M
Current accrued expenses -64.00%302M350.00%927M331.08%957M331.08%957M311.87%902M405.42%839M10.16%206M76.19%222M76.19%222M0.46%219M
Current provisions -13.50%141M-21.98%142M-27.94%147M-27.94%147M-30.77%153M-34.54%163M-7.14%182M9.09%204M9.09%204M26.29%221M
Current debt and capital lease obligation 15.38%90M25.33%94M15.22%106M15.22%106M8.33%78M2.63%78M-2.60%75M9.52%92M9.52%92M-2.70%72M
-Current debt 48.00%37M64.00%41M18.60%51M18.60%51M-4.17%23M4.17%25M4.17%25M72.00%43M72.00%43M-4.00%24M
-Current capital lease obligation 0.00%53M6.00%53M12.24%55M12.24%55M14.58%55M1.92%53M-5.66%50M-16.95%49M-16.95%49M-2.04%48M
Current liabilities -28.90%1.56B27.85%2.23B31.46%2.49B31.46%2.49B12.51%2.2B16.12%2.19B-1.69%1.75B1.78%1.89B1.78%1.89B9.67%1.95B
Non current liabilities
Long term provisions -4.40%522M-5.08%523M-3.47%528M-3.47%528M-2.37%536M1.87%546M22.99%551M21.29%547M21.29%547M19.87%549M
Long term debt and capital lease obligation 9.11%4.15B9.80%4.17B10.69%4.19B10.69%4.19B12.13%4.15B-0.89%3.8B-2.14%3.79B-2.95%3.79B-2.95%3.79B-7.57%3.7B
-Long term debt 9.63%3.95B10.25%3.97B11.06%3.99B11.06%3.99B12.36%3.94B-1.42%3.6B-2.52%3.6B-3.60%3.59B-3.60%3.59B-8.33%3.51B
-Long term capital lease obligation -0.51%195M1.54%198M4.04%206M4.04%206M7.81%207M10.11%196M5.41%195M10.61%198M10.61%198M9.09%192M
Non current deferred liabilities -29.31%41M-26.67%44M-27.87%44M-27.87%44M1.89%54M7.41%58M15.38%60M24.49%61M24.49%61M-14.52%53M
Non current accrued expenses 22.03%72M33.33%72M32.73%73M32.73%73M29.41%66M18.00%59M10.20%54M10.00%55M10.00%55M-1.92%51M
Employee benefits -12.35%71M-7.41%75M-8.54%75M-8.54%75M15.12%99M-10.00%81M-11.96%81M-12.77%82M-12.77%82M-17.31%86M
Other non current liabilities -0.86%115M1.80%113M3.67%113M3.67%113M32.35%90M78.46%116M73.44%111M73.02%109M73.02%109M-4.23%68M
Total non current liabilities 6.59%4.97B7.35%4.99B8.27%5.03B8.27%5.03B10.80%5B0.67%4.66B1.51%4.65B0.69%4.64B0.69%4.64B-5.11%4.51B
Total liabilities -4.76%6.52B12.95%7.22B14.99%7.51B14.99%7.51B11.32%7.19B5.14%6.85B0.61%6.4B1.00%6.53B1.00%6.53B-1.09%6.46B
Shareholders'equity
Share capital 0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M
-common stock 0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M
Retained earnings -1.93%1.83B-21.12%1.8B-17.88%1.78B-17.88%1.78B-19.92%1.85B-11.32%1.86B17.42%2.28B24.28%2.17B24.28%2.17B48.26%2.3B
Paid-in capital 3.06%1.05B2.89%1.03B1.67%1.03B1.67%1.03B1.48%1.03B0.90%1.01B5.02%1B7.63%1.02B7.63%1.02B9.61%1.02B
Less: Treasury stock 0.84%1.81B3.14%1.81B3.91%1.81B3.91%1.81B12.66%1.81B18.00%1.79B25.70%1.75B39.37%1.74B39.37%1.74B39.24%1.6B
Gains losses not affecting retained earnings -23.05%-347M10.46%-274M20.12%-274M20.12%-274M27.25%-315M25.40%-282M9.73%-306M5.77%-343M5.77%-343M-30.42%-433M
Total stockholders'equity -10.52%723M-38.71%752M-33.42%737M-33.42%737M-41.20%755M-33.44%808M5.23%1.23B2.41%1.11B2.41%1.11B28.66%1.28B
Noncontrolling interests 0.00%2M100.00%2M--2M--2M100.00%2M100.00%2M0.00%1M--0--00.00%1M
Total equity -10.49%725M-38.60%754M-33.24%739M-33.24%739M-41.09%757M-33.33%810M5.23%1.23B2.31%1.11B2.31%1.11B28.63%1.29B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

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