CC - The Chemours Company -  [ ]

Seasonality of Returns By Period

Average daily return by calendar bucket (ClosePriceSA).

Day of Week

Week of Month

Month of Year

Seasonal Path

YTD vs Last Year vs Lookback Avg · closes rebased to 100 at each year's first session
Ticker Details
The Chemours Company
The Chemours Co is a chemical manufacturing company that produces and develops titanium technologies, fluoroproducts and chemical solutions. It also produces refrigerants and industrial resins.
IPO Date: January 2, 1990
Sector: Materials
Industry: Specialty Chemicals
Market Cap: $2.08B
Activated in VL: True
Average Daily Range
Avg Daily Range: $0.47 | 2.46%
Avg Daily Range (30 D): $0.25 | 1.69%
Avg Daily Range (90 D): $0.44 | 2.49%
Institutional Daily Volume
Avg Daily Volume: 1.91M
Avg Daily Volume (30 D): 1.42M
Avg Daily Volume (90 D): 1.83M
Trade Size
Avg Trade Size (Sh.): 177
Avg Trade Size (Sh.) (30 D): 69
Avg Trade Size (Sh.) (90 D): 68
Institutional Trades
Total Institutional Trades: 17,444
Avg Institutional Trade: $2.11M
Avg Institutional Trade (30 D): $3.87M
Avg Institutional Trade (90 D): $4.58M
Avg Institutional Trade Volume: .1M
Avg Institutional Trades (Per Day): 4
Market Closing Trades
Avg Closing Trade: $5.67M
Avg Closing Trade (30 D): $5.24M
Avg Closing Trade (90 D): $7.77M
Avg Closing Volume: 241.34K
 
News
Sep 29, 2026 @ 2:11 PM
Are Options Traders Betting on a Big Move in Chemo...
Source: Na
Aug 27, 2026 @ 10:56 AM
High Performance Fluoropolymers Market Forecast 20...
Source: Researchandmarkets.Com
Aug 25, 2026 @ 9:52 PM
INVESTOR ALERT: Pomerantz Law Firm Investigates Cl...
Source: Pomerantz Llp
Aug 25, 2026 @ 9:51 PM
INVESTOR ALERT: Pomerantz Law Firm Reminds Investo...
Source: Pomerantz Llp
Aug 25, 2026 @ 9:47 PM
INVESTOR ALERT: Pomerantz Law Firm Reminds Investo...
Source: Pomerantz Llp
Financials
  TTM Q2 2026 Q1 2026
Basic EPS $-1.81 $-.19
Diluted EPS $-1.81 $-.19
Revenue $1.59B $1.38B
Gross Profit $286M $212M
Net Income / Loss $-274M $-29M
Operating Income / Loss $1.09B $1.2B
Cost of Revenue $1.31B $1.17B
Net Cash Flow $108M $-109M
PE Ratio