Chemours CoCC

時価総額
$16.5億
PER
高機能化学製品の世界最大手。TiO2顔料、冷媒、テフロンなどフッ素系高機能材料を展開。2023年8月にグリコール酸事業を約1.37億ドルで売却、同年に燃料電池膜でジョイントベンチャーを設立。世界約110カ国で顧客約2,500社、主要生産拠点28カ所で展開。
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
2024年
12月31日
Cash and cash equivalents3669021,5561,2019431,1051,4511,1021,203713
Restricted Cash and Cash Equivalents, Current--------604-
Receivables, Net, Current859807919861674511720626610770
Inventories9727679351,1471,0799391,0991,4041,3521,472
Prepaid Expense, Current104778384817875826671
Total current assets2,3012,5533,4933,2932,7772,6333,3453,2143,8353,026
Property, plant, and equipment9,0157,9978,5118,9929,4139,5829,2329,3879,4129,572
Less: Accumulated depreciation5,8385,2135,5035,7015,8546,1086,0786,2166,1966,389
Property, plant, and equipment, net3,1772,7843,0083,2913,5593,4743,1543,1713,2163,183
Operating lease right-of-use assets----294236227240260258
Goodwill166----15310210210246
Other intangible assets, net-----1461333
Investments in affiliates136136173160162167169175158152
Restricted cash and restricted cash equivalents------100202-50
Other assets508417453437292405447523677797
Total assets6,2986,0607,2937,3627,2587,0827,5507,6408,2517,515
Accounts payable9738841,0751,1379238441,1621,2511,1591,142
Employee-related Liabilities, Current---108521071731218999
Debt, Current----1342125255154
Current environmental remediation------173194129115
Other accrued liabilities4548725585594845773253001,058393
Total current liabilities1,4661,7711,6481,7091,5411,4421,8581,8912,4861,803
Long-term debt, net3,9153,5294,0973,9594,0264,0053,7243,5903,9874,054
Operating lease liabilities----245194179198206194
Long-term environmental remediation------389474461456
Deferred income taxes-----3649614435
Other liabilities553524475457633590269319328368
Total liabilities6,1685,9566,4286,3426,5636,2676,4686,5337,5126,910
Common Stock, Value, Issued2222222222
Treasury stock, at cost (48,871,602 shares at December 31, 2024; 48,932,387 shares at December 31, 2023)--1167501,0721,0721,2471,7381,8061,804
Additional paid-in capital7757898378608598909441,0161,0331,055
Retained earnings-115-1145791,4661,2491,3031,7462,1701,7821,718
Accumulated other comprehensive loss-536-577-442-564-349-310-364-343-274-367
Total Chemours stockholders’ equity1301048651,0206958151,0821,107739605
Non-controlling interests4456621-21
Total equity1301048651,0206958151,0821,107739605
Total liabilities and equity6,2986,0607,2937,3627,2587,0827,5507,6408,2517,515