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Chemours Company (MX:CC)
:CC
Mexico Market

Chemours Company (CC) Cash flow

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Chemours Company Cash Flow

MX:CC's free cash flow for Q2 2026 was $21.00M. For the 2026 fiscal year, MX:CC's free cash flow was decreased by $1.04B and operating cash flow was $114.00M. See a summary of the company’s cash flow.
Cash Flow
Dec 25Dec 24Dec 23Dec 22Dec 21
Operating Cash Flow
$ 264.00M$ -633.00M$ 556.00M$ 755.00M$ 814.00M
Investing Cash Flow
$ -206.00M$ -353.00M$ -229.00M$ -284.00M$ 220.00M
Financing Cash Flow
$ -126.00M$ -36.00M$ 172.00M$ -686.00M$ -554.00M
End Cash Position
$ 672.00M$ 763.00M$ 1.81B$ 1.30B$ 1.55B
Free Cash Flow
$ 51.00M$ -993.00M$ 186.00M$ 448.00M$ 537.00M
Currency in USD

Chemours Company Cash Flow