# The Chemours Company (CC) fundamentals

Data as of 2026-09-08. NYSE, United States. Sector: Basic Materials / Chemicals. Price $15.30, market value $2.3 billion.

## Valuation
- **P/E (trailing): n/a** (negative earnings). The Chemours Company reported negative earnings over the last twelve months, so the P/E is not meaningful; use price-to-sales, EV/EBITDA and free-cash-flow yield instead.
- **Price / sales: 0.4×**. Each dollar of revenue is priced at 0.4×, a low multiple typical of thin-margin businesses or out-of-favour stocks.
- **Free-cash-flow yield: 9.5%** (5-yr avg -2.4%). Free cash flow equals 9.5% of the market value, above its five-year average of -2.4%, so the shares are cheaper on cash than they have usually been. Above 5% is generally attractive.

## Profitability
- **Gross margin: 15.3%**. The Chemours Company keeps 15.3% of revenue after the direct cost of what it sells, a thin margin typical of retail, distribution and commodity businesses.
- **Net margin: -6.6%**. The company reported a net loss over the last twelve months.
- **Return on equity: -154.4%**. Return on equity is negative because earnings are negative.
- **Return on assets: -4.1%**. Each dollar of assets produces -4.1% of profit.

## Growth
- **Revenue growth (1 yr): 0.4%** (3-yr -5.3%/yr, 5-yr 3.2%/yr). Revenue grew 0.4% over the last year, against 3.2% a year compounded over five years: growth is slowing.
- **EPS growth (1 yr): -658.7%**. Earnings per share fell 658.7%, slower than revenue, so margins compressed.
- **Free-cash-flow growth (3 yr): -51.5%/yr**. Free cash flow has compounded at -51.5% a year over three years.

## Financial health
- **Debt to equity: 16.56**. Debt is 16.56 times equity, a leveraged balance sheet that needs steady cash flow to service.
- **Piotroski F-score: 3/9**. 3 of 9 checks pass: weak or deteriorating financials.

## Dividends
- **Dividend yield: 2.29%** ($0.35 per share, trailing). The Chemours Company yields 2.29%, a modest yield more typical of a growth-oriented payer.
- **Dividend growth (5 yr): -12.5%/yr** (1-yr -48.6%). The dividend has not grown over five years.

## Price and momentum
- **Total return (1 yr): 3.0%** (YTD 30.9%, 3-mo -25.4%). The shares are up 3.0% over twelve months including dividends.
- **From 52-week high: -46.6%** (46.6% above the low). Trading 47% below its 52-week high, deep in a drawdown.
- **200-day average: below**. The price sits below its 200-day moving average, the usual definition of a downtrend.
- **RSI (14-day): 43**. An RSI of 43 is neutral.
- **Beta (1 yr): 1.67** (volatility 63%). Beta of 1.67 against the S&P 500: the shares move much more than the market.

Live score and charts: https://foliofundamentals.com/analyzer?s=CC · Page: https://foliofundamentals.com/stocks/cc

Not investment advice.
