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Chemours CC Ratios & Valuation

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
Profitability
Gross margin15.1%-3.8pp15.5%-4.2pp17.3%-2.2pp18.2%-1.2pp18.9%-1.8pp
Net margin-7%-7.3pp-6.6%-7.9pp-6%-7.1pp-7.3%-9.2pp0.2%+5.8pp
Returns
Return on equity-105%-107pp-94%-105pp-76.3%-85.5pp-90.9%-105pp1.8%+35.0pp
Return on invested capital-0.6%-4.1pp-0.2%-6.2pp1.4%-5.5pp-0.3%-8.0pp3.4%+7.9pp
Efficiency
Asset turnover0.8×0.0×0.8×0.0×0.8×0.0×0.8×0.0×0.8×0.0×
Liquidity
Current ratio1.8×+0.1×1.8×+0.1×1.7×0.0×1.7×-0.2×1.8×+0.1×
Leverage
Debt-to-equity20.6×+12.8×17.7×+10.0×16.2×+9.5×19.5×+13.5×7.8×+2.1×
Net debt / EBITDA12.7×+6.3×11.3×+5.8×9.8×+3.5×12.5×+6.6×6.4×-26.3×
Valuation
Market capitalization$3.31B+63.6%$1.77B-30.0%$2.37B-21.9%$1.67B-50.4%$2.02B-48.3%
Price / sales0.6×+0.2×0.3×-0.1×0.4×-0.1×0.3×-0.3×0.3×-0.3×
Price / book15.4×+11.8×7.1×+2.6×8.7×+3.9×7.3×+2.6×3.6×-1.6×
EV / EBITDA23.6×+13.8×16.7×+7.3×15.8×+4.4×17.8×+6.6×9.7×-58.9×
Dividend yield1.6%-5.7pp4.4%-1.4pp4.2%-0.7pp7.4%+3.0pp7.3%+3.5pp

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Questions, answered.

Where do Chemours's ratios come from?
Every ratio is computed from Chemours's SEC filings — trailing-twelve-month flows over period-end balances. Valuation multiples combine those fundamentals with market data, recomputed each period. Switch between quarterly, annual, and TTM, or open any ratio for its full history and peer comparisons.