Chemours Financial Ratios for Analysis 2012-2024 | CC

Fifteen years of historical annual and quarterly financial ratios and margins for Chemours (CC).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012
1.541.701.801.831.801.932.121.441.571.391.35-
0.840.760.770.830.850.800.830.970.97---
5.463.283.464.945.993.894.7534.0830.42---
21.6723.7921.7721.4719.2429.6928.2220.4316.7021.1421.3431.92
-4.0711.3610.657.396.3017.8215.87-1.74-2.317.947.7319.32
-4.0711.3610.657.396.3017.8215.87-1.74-2.317.947.7319.32
1.1815.7815.7914.0112.0922.2720.493.812.5011.9411.5322.93
-5.2810.9110.653.60-2.2417.4014.75-0.20-3.298.558.4020.16
-3.958.519.584.41-0.9414.9912.070.13-1.576.226.1714.35
0.730.890.840.700.760.900.850.890.911.081.22-
3.493.694.524.164.144.074.755.604.904.825.11-
9.8810.858.819.728.207.716.736.696.667.608.16-
36.9433.6341.4237.5444.5247.3454.2554.5554.8448.0144.75-
-32.0752.2156.1926.87-7.4897.6586.366.73-69.2310.9213.18-
-37.3858.2762.4233.80-9.98119107-10.6119611.5814.12-
-2.877.578.053.09-0.7213.5310.240.12-1.436.737.54-
-5.0112.3112.654.54-1.1020.0015.050.19-2.2310.9213.18-
4.977.456.724.944.255.974.730.570.7220.29--
3.734.774.834.853.946.243.353.241.012.794.410.00
1.252.833.183.251.033.521.201.40-1.86-0.371.99-

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302013-12-312012-12-31
1.731.891.611.541.681.541.841.701.821.911.911.801.891.821.861.831.992.351.931.801.721.961.811.932.032.092.212.122.191.971.561.441.921.591.591.571.651.72------
0.860.850.840.840.840.820.750.760.730.750.760.770.790.820.820.830.850.870.860.850.830.830.830.800.780.790.810.830.840.880.910.970.910.960.950.970.980.91------
6.135.505.325.465.244.482.953.282.853.233.343.463.864.434.694.945.586.596.105.994.935.084.883.893.493.884.154.755.097.129.9234.089.8322.8320.5930.4244.029.74------
19.0519.9021.1918.7418.3624.9523.9615.0224.3125.9527.5524.9725.4215.9520.6823.3920.8418.2122.8411.0921.1522.9421.5127.3229.3030.6731.0430.8829.3627.5824.7722.0924.4619.3115.5715.6617.7714.9918.49-22.0022.06--
1.408.978.30-0.37-3.09-24.1013.15-0.7514.6911.3317.2312.9616.253.639.684.719.254.7610.57-2.447.9111.437.9911.6817.3220.1521.0417.4717.9315.5512.18-18.688.230.652.24-4.04-8.08-1.264.55-9.197.61--
1.408.978.30-0.37-3.09-24.1013.15-0.7514.6911.3317.2312.9616.253.639.684.719.254.7610.57-2.447.9111.437.9911.6817.3220.1521.0417.4717.9315.5512.18-18.688.230.652.24-4.04-8.08-1.264.55-9.197.61--
--------------------------------------------
-2.005.334.96-5.220.87-26.3511.26-5.1616.8312.0615.8719.0613.752.667.031.644.871.835.90-33.656.559.457.7812.4316.5217.7922.0216.7715.7814.1712.04-20.7316.74-2.965.40-8.90-7.20-1.194.26-8.769.22--
-1.804.553.85-1.400.81-22.899.44-7.2513.5110.5013.2714.7412.743.996.691.426.162.207.66-23.525.476.826.839.7016.8915.4717.1714.4913.0710.1410.44-17.4014.59-1.303.93-6.32-1.95-1.193.15-6.566.90--
0.200.210.170.160.190.210.200.180.230.250.230.210.220.220.200.190.180.160.190.190.190.190.190.200.220.250.230.220.220.230.230.220.220.220.200.220.230.23------
0.840.900.760.820.920.850.790.811.021.161.101.071.231.331.151.090.980.830.901.110.900.870.890.931.061.241.201.161.281.361.321.341.251.251.161.181.231.22------
1.581.721.702.231.761.851.842.141.811.801.742.192.022.061.992.622.162.021.922.011.671.601.621.701.631.661.601.711.681.601.561.641.591.471.431.581.351.45------
57.0252.4352.8040.3451.2048.7549.0442.1149.6350.1051.7341.1744.5243.6145.3134.3741.7544.4646.9744.8753.8756.1955.4052.9355.1754.2756.3452.5553.5256.3457.6854.9456.7261.1162.8756.8566.7461.95------
-4.109.666.90-2.441.59-46.4211.81-8.7618.6816.5420.0521.4421.427.3311.272.3310.353.6415.13-45.769.0211.5811.5213.9224.0027.5129.6426.3625.7128.1542.18-221.1553.54-10.6526.56-66.15-32.22-4.44------
-4.4311.298.01-2.841.85-53.7112.99-9.7820.5518.2722.0823.8224.078.9413.932.9313.454.9220.45-61.0411.3914.7514.7816.9228.6833.7335.4832.6232.4539.8579.8934897.14-225.0030018732.22-9.14------
-0.360.970.65-0.220.15-4.911.90-1.273.102.603.113.072.840.881.340.271.090.341.44-4.381.021.291.281.933.663.843.973.132.912.282.40-3.803.24-0.290.80-1.37-0.45-0.27------
-0.581.501.10-0.380.26-8.523.00-2.075.014.134.824.834.431.361.990.391.580.482.14-6.741.571.911.972.855.365.665.774.594.243.483.88-6.334.98-0.451.24-2.13-0.72-0.42------
4.414.865.074.975.105.468.247.458.397.817.446.726.105.445.154.944.464.014.034.255.165.074.955.976.595.815.614.734.353.101.940.572.100.931.060.720.502.24------
-5.15-6.06-1.933.730.49-0.38-0.824.773.761.840.014.833.591.730.234.852.720.940.273.941.51-0.23-0.266.244.842.931.043.351.761.180.223.241.770.690.201.01-0.66-1.29-1.320.000.070.000.000.00
-6.81-7.23-2.611.25-0.15-1.38-1.422.832.240.78-0.643.182.440.99-0.123.251.44-0.07-0.381.03-0.82-1.77-1.033.522.951.690.501.200.470.46-0.151.400.48-0.23-0.29-1.86-2.83-2.87-2.07--2.01---