Cash Flow from Financial Activities: The net amount of cash transactions used in funding activities.
The Chemours Company (CC) had Cash Flow from Financial Activities of $172.00M for the most recently reported fiscal quarter, ending 2023-12-31.
Income Statement Financials | |
$1.36B |
|
$-27.00M |
|
$1.11B |
|
$247.00M |
|
$1.38B |
|
$-15.00M |
|
$-66.00M |
|
$-81.00M |
|
$-81.00M |
|
$-26.00M |
|
$-26.00M |
|
$-26.00M |
|
$-26.00M |
|
$-15.00M |
|
$62.00M |
|
148.91M |
|
148.91M |
|
$-0.18 |
|
$-0.17 |
|
Balance Sheet Financials | |
$3.83B |
|
$3.22B |
|
$4.42B |
|
$8.25B |
|
$2.49B |
|
$3.99B |
|
$5.03B |
|
$7.51B |
|
$739.00M |
|
$634.00M |
|
$739.00M |
|
148.59M |
|
Cash Flow Statement Financials | |
$556.00M |
|
$-229.00M |
|
Cash Flow from Financial Activities |
$172.00M |
$1.30B |
|
$1.81B |
|
$503.00M |
|
$18.00M |
|
$-149.00M |
|
-- |
|
Fundamental Metrics & Ratios | |
1.54 |
|
-- |
|
-- |
|
0.84 |
|
5.46 |
|
18.15% |
|
-1.10% |
|
-1.10% |
|
-- |
|
-5.95% |
|
-1.98% |
|
$186.00M |
|
-- |
|
-- |
|
-- |
|
0.16 |
|
0.82 |
|
2.23 |
|
40.34 |
|
-3.52% |
|
-4.10% |
|
-0.32% |
|
-0.55% |
|
$4.97 |
|
$1.25 |
|
$3.73 |