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The Chemours Company (CC) Cash From Financing

Annual CFF:

-$36.00M-$208.00M(-120.93%)
December 31, 2024

Summary

  • As of today, CC annual cash from financing is -$36.00 million, with the most recent change of -$208.00 million (-120.93%) on December 31, 2024.
  • During the last 3 years, CC annual cash from financing has risen by +$518.00 million (+93.50%).
  • CC annual cash from financing is now -105.24% below its all-time high of $687.00 million, reached on December 31, 2015.

Performance

CC Cash From Financing Chart

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Quarterly CFF:

-$27.00M+$30.00M(+52.63%)
June 30, 2025

Summary

  • As of today, CC quarterly cash from financing is -$27.00 million, with the most recent change of +$30.00 million (+52.63%) on June 30, 2025.
  • Over the past year, CC quarterly cash from financing has increased by +$13.00 million (+32.50%).
  • CC quarterly cash from financing is now -105.72% below its all-time high of $472.00 million, reached on June 30, 2017.

Performance

CC Quarterly Cash From Financing Chart

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TTM CFF:

-$26.00M+$13.00M(+33.33%)
June 30, 2025

Summary

  • As of today, CC TTM cash from financing is -$26.00 million, with the most recent change of +$13.00 million (+33.33%) on June 30, 2025.
  • Over the past year, CC TTM cash from financing has dropped by -$250.00 million (-111.61%).
  • CC TTM cash from financing is now -103.78% below its all-time high of $687.00 million, reached on December 31, 2015.

Performance

CC TTM Cash From Financing Chart

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Cash From Financing Formula

CFF = Cash Inflows from Financing Activities − Cash Outflows from Financing Activities

CC Cash From Financing Trends

PeriodPeriodAnnualAnnualQuarterlyQuarterlyTTMTTM
1Y1 Year-120.9%+32.5%-111.6%
3Y3 Years+93.5%+79.2%+96.6%
5Y5 Years+91.4%-110.9%+91.6%

CC Cash From Financing Highs & Lows

PeriodPeriodAnnual vs HighAnnual vs HighAnnual vs LowAnnual vs LowQuarter. vs HighQuarter. vs HighQuarter. vs LowQuarter. vs LowTTM vs HighTTM vs HighTTM vs LowTTM vs Low
3Y3-Year-120.9%+94.8%-108.4%+85.9%-111.6%+96.3%
5Y5-Year-120.9%+94.8%-108.4%+92.2%-111.6%+96.6%
All-TimeAll-Time-105.2%+96.9%-105.7%+92.7%-103.8%+97.5%

CC Cash From Financing History

DateAnnualQuarterlyTTM
Jun 2025
-
-$27.00M(+52.6%)
-$26.00M(+33.3%)
Mar 2025
-
-$57.00M(-167.1%)
-$39.00M(-8.3%)
Dec 2024
-$36.00M(-120.9%)
$85.00M(+414.8%)
-$36.00M(+71.4%)
Sep 2024
-
-$27.00M(+32.5%)
-$126.00M(-156.3%)
Jun 2024
-
-$40.00M(+25.9%)
$224.00M(+17.3%)
Mar 2024
-
-$54.00M(-980.0%)
$191.00M(+11.0%)
Dec 2023
$172.00M(+125.1%)
-$5.00M(-101.5%)
$172.00M(+1328.6%)
Sep 2023
-
$323.00M(+542.5%)
-$14.00M(+97.3%)
Jun 2023
-
-$73.00M(0.0%)
-$512.00M(+10.0%)
Mar 2023
-
-$73.00M(+61.8%)
-$569.00M(+16.9%)
Dec 2022
-$686.00M(-23.8%)
-$191.00M(-9.1%)
-$685.00M(+1.4%)
Sep 2022
-
-$175.00M(-34.6%)
-$695.00M(+8.7%)
Jun 2022
-
-$130.00M(+31.2%)
-$761.00M(-7.6%)
Mar 2022
-
-$189.00M(+6.0%)
-$707.00M(-26.3%)
Dec 2021
-$554.00M(-23.4%)
-$201.00M(+16.6%)
-$560.00M(-0.7%)
Sep 2021
-
-$241.00M(-217.1%)
-$556.00M(+15.6%)
Jun 2021
-
-$76.00M(-81.0%)
-$659.00M(-96.1%)
Mar 2021
-
-$42.00M(+78.7%)
-$336.00M(+25.2%)
Dec 2020
-$449.00M(-7.2%)
-$197.00M(+42.7%)
-$449.00M(-44.4%)
Sep 2020
-
-$344.00M(-239.3%)
-$311.00M(-606.8%)
Jun 2020
-
$247.00M(+259.4%)
-$44.00M(+82.4%)
Mar 2020
-
-$155.00M(-162.7%)
-$250.00M(+40.3%)
Dec 2019
-$419.00M
-$59.00M(+23.4%)
-$419.00M(+20.9%)
Sep 2019
-
-$77.00M(-287.8%)
-$530.00M(+16.5%)
DateAnnualQuarterlyTTM
Jun 2019
-
$41.00M(+112.7%)
-$635.00M(+39.3%)
Mar 2019
-
-$324.00M(-90.6%)
-$1.05B(-5.3%)
Dec 2018
-$993.00M(-382.1%)
-$170.00M(+6.6%)
-$993.00M(-5.9%)
Sep 2018
-
-$182.00M(+50.8%)
-$938.00M(-21.7%)
Jun 2018
-
-$370.00M(-36.5%)
-$771.00M(-1185.9%)
Mar 2018
-
-$271.00M(-135.7%)
$71.00M(-79.9%)
Dec 2017
$352.00M(+188.9%)
-$115.00M(-666.7%)
$353.00M(+16.9%)
Sep 2017
-
-$15.00M(-103.2%)
$302.00M(+54.9%)
Jun 2017
-
$472.00M(+4190.9%)
$195.00M(+152.8%)
Mar 2017
-
$11.00M(+106.6%)
-$369.00M(+6.8%)
Dec 2016
-$396.00M(-157.6%)
-$166.00M(-36.1%)
-$396.00M(-66.4%)
Sep 2016
-
-$122.00M(-32.6%)
-$238.00M(-6.3%)
Jun 2016
-
-$92.00M(-475.0%)
-$224.00M(-181.8%)
Mar 2016
-
-$16.00M(-100.0%)
$274.00M(-60.1%)
Dec 2015
$687.00M(+1149.1%)
-$8.00M(+92.6%)
$687.00M(+78.0%)
Sep 2015
-
-$108.00M(-126.6%)
$386.00M(-9.6%)
Jun 2015
-
$406.00M(+2.3%)
$427.00M(+754.0%)
Mar 2015
-
$397.00M(+228.5%)
$50.00M(-9.1%)
Dec 2014
$55.00M(+114.7%)
-$309.00M(-361.2%)
$55.00M(-84.9%)
Sep 2014
-
-$67.00M(-331.0%)
$364.00M(-15.5%)
Jun 2014
-
$29.00M(-92.8%)
$431.00M(+7.2%)
Mar 2014
-
$402.00M
$402.00M
Dec 2013
-$374.00M(+61.1%)
-
-
Dec 2012
-$961.00M(+16.5%)
-
-
Dec 2011
-$1.15B
-
-

FAQ

  • What is The Chemours Company annual cash from financing?
  • What is the all-time high annual cash from financing for The Chemours Company?
  • What is The Chemours Company annual cash from financing year-on-year change?
  • What is The Chemours Company quarterly cash from financing?
  • What is the all-time high quarterly cash from financing for The Chemours Company?
  • What is The Chemours Company quarterly cash from financing year-on-year change?
  • What is The Chemours Company TTM cash from financing?
  • What is the all-time high TTM cash from financing for The Chemours Company?
  • What is The Chemours Company TTM cash from financing year-on-year change?

What is The Chemours Company annual cash from financing?

The current annual cash from financing of CC is -$36.00M

What is the all-time high annual cash from financing for The Chemours Company?

The Chemours Company all-time high annual cash from financing is $687.00M

What is The Chemours Company annual cash from financing year-on-year change?

Over the past year, CC annual cash from financing has changed by -$208.00M (-120.93%)

What is The Chemours Company quarterly cash from financing?

The current quarterly cash from financing of CC is -$27.00M

What is the all-time high quarterly cash from financing for The Chemours Company?

The Chemours Company all-time high quarterly cash from financing is $472.00M

What is The Chemours Company quarterly cash from financing year-on-year change?

Over the past year, CC quarterly cash from financing has changed by +$13.00M (+32.50%)

What is The Chemours Company TTM cash from financing?

The current TTM cash from financing of CC is -$26.00M

What is the all-time high TTM cash from financing for The Chemours Company?

The Chemours Company all-time high TTM cash from financing is $687.00M

What is The Chemours Company TTM cash from financing year-on-year change?

Over the past year, CC TTM cash from financing has changed by -$250.00M (-111.61%)
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