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Chemours CC Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
-$409M-1,615%-$385M-548%-$349M-542%-$422M-458%$27M+108%
$331M+7.1%$340M+16.4%$333M+13.3%$326M+9.8%$309M+2.7%
$23M+21.1%$21M+40.0%$20M+17.6%$20M+11.1%$19M+26.7%
$332M$264M
$178M-48.0%$213M-40.8%$277M-28.2%$312M-21.2%$342M-10.2%
-$164M+51.5%-$206M+41.6%-$270M+28.2%-$310M-$338M
$54M-63.5%$78M-47.3%$99M-33.6%$124M-16.2%$148M-0.7%
-$88M-$126M

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Questions, answered.

How much cash does Chemours generate?
Chemours (CC) generated $332.0M in operating cash flow over the trailing twelve months.
What is Chemours's free cash flow?
After $178.0M of capital expenditures, Chemours's free cash flow was -$890.0M over the trailing twelve months, down 436.1% year over year.
Where does Chemours's cash flow data come from?
Every line is extracted from Chemours's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.