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Chemours (CC) Financials and Smart Investor 13F Alerts

See how revenue, income, cash flow, and balance sheet financials have changed over 20 quarters since 2016. Compare with CC stock chart to see long term trends.

CC stock compared to

CC Income Statement

Revenue, Net:1338000000
Revenue Per Share:8.12
Cost of Goods & Services Sold:1025000000
Gross Profit:313000000
Selling, General & Admin Expense:180000000
Research & Development Expense:27000000
Total Operating Expenses:250000000
Operating Income:22000000
Income Taxes:121000000
Net Income:19000000
Earnings Per Share, Basic:0.11
Shares Outstanding, Basic Avg:164681827

CC Cash Flow

Operating Activities Net Income:
Depreciation, Depletion & Amortization:80000000
Net Cash from Operations:353000000
Repurchases/Buybacks Common Stock:0
Cash Dividends Paid:41000000
Net Cash from Financing Activities:-197000000
Property, Plant & Equipment Purchases:53000000
Net Cash from Investing Activities:-24000000
Net Change in Cash & Equivalents:149000000

CC Balance Sheet

Cash and Cash Equivalents:1105000000
Accounts Receivable, Net:449000000
Inventories:939000000
Total Current Assets:2633000000
Property, Plant & Equipment, Net:3474000000
Total Assets:7082000000
Accounts Payable:844000000
Total Short-Term Liabilities:1442000000
Long Term Debt, Non-Current Portion:4005000000
Total Liabilities:6267000000

Major Holders (from 13F filings)

Investment Type
Change
Value (x$1000)
increase or decrease
FMR LLC
24,435,800 sh
1,052,716 sh
5%
$510,953
$152,023
Vanguard Group Inc
14,881,554 sh
-893,478 sh
-6%
$311,174
$69,027
Blackrock Inc.
13,383,517 sh
-521,802 sh
-4%
$279,848
$66,403
Miller Value Partners, LLC
3,536,689 sh
-548,986 sh
-13%
$73,952
$11,237
Greenlight Capital Inc
3,046,949 sh
-349,000 sh
-10%
$63,713
$11,585
Northern Trust Corp
1,718,646 sh
377,574 sh
28%
$35,936
$15,351
Goldman Sachs Group Inc
1,079,366 sh
134,063 sh
14%
$22,569
$8,058
Charles Schwab Investment Management Inc
905,383 sh
-9,368 sh
-1%
$18,932
$4,890
Sandler Capital Management
Put options for 578,500 sh
102,500 sh
22%
$12,096
$4,789
Invesco Ltd.
577,236 sh
-1,561,457 sh
-73%
$12,070
-$20,759
Ameriprise Financial Inc
458,414 sh
101,896 sh
29%
$9,586
$4,113
Great West Life Assurance Co /Can/
377,652 sh
287,732 sh
320%
$4,310
$2,931
Legal & General Group Plc
358,174 sh
35,087 sh
11%
$7,489
$2,530
Bank Of America Corp /De/
293,856 sh
-7,199 sh
-2%
$6,144
$1,522
California State Teachers Retirement System
290,735 sh
5,549 sh
2%
$6,079
$1,701
Amundi Pioneer Asset Management Inc
277,750 sh
277,750 sh
NEW
$5,808
$5,808
UBS Asset Management Americas Inc
263,213 sh
25,407 sh
11%
$5,503,783
$1,853,461
Morgan Stanley
250,941 sh
-36,201 sh
-13%
$5,249
$840
Burney Co
225,103 sh
225,103 sh
NEW
$4,707
$4,707
New York State Teachers Retirement System
221,359 sh
-43,900 sh
-17%
$4,629
$557

Data imported from Chemours SEC filings. Check original filings before making any investment decision.