搜索
市场行情
自选
新闻
分析
交易工具
选股器
扫码下载
一键诊股 让投资更聪明
English
繁体中文
ไทย
Tiếng việt
简体中文
Español
Português
Deutsch
한국어
日本語
登录
免费注册
搜索
免费注册
市场行情
/
股票
/
cc
/
Chemours Co
CC
添加自选
16.480
USD
-0.590
-3.46%
收盘 07-29 16:00(美东)
报价延迟15分钟
17.143
USD
+17.143
盘后交易 07/30, 20:00 (美东)
2.48B
总市值
亏损
市盈率 TTM
Chemours Co
16.480
-0.590
-3.46%
概览
财务
分析
公司
财务摘要
利润表
资产负债表
现金流量表
概览
财务
分析
公司
财务摘要
利润表
资产负债表
现金流量表
CC 财务数据
通过专为投资者打造的一站式数据看板,全面查看 Chemours Co 的财务状况。平台将复杂的财务报表整理为可自定义的视图,助您更轻松地进行财务分析。您可以查看最新年度财务报告,也可以通过利润表、资产负债表和现金流量表,按季度分析公司表现。借助实时财务指标,持续追踪公司的经营状况和市场表现更加便捷。
Chemours Co财报日历
最新发布
8月 4, 2026
每股收益 / 预测值
--
/0.42
营业收入 / 预测值
--
/1.65B
查看即将公布的财报 >>
报告期
FY2025 财报
营业收入(YoY)
5.81B
0.45%
每股收益(YoY)
-2.57
-656.65%
分析师评级
HOLD
2026/07/29
单季报
单季报+年报
单季报
年报
YOY
隐藏空白行
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
财务指标
每股收益
-620.95%
-0.19
-659.34%
-0.41
320.63%
0.40
-731.51%
-2.54
-107.65%
-0.03
69.43%
-0.05
-323.38%
-0.18
115.92%
0.40
-64.15%
0.35
72.99%
-0.17
--
0.08
--
-2.52
--
0.97
--
-0.65
--
--
--
--
--
--
--
--
--
--
--
--
营业收入
0.95%
1.38B
-4.59%
1.33B
-0.40%
1.50B
5.01%
1.61B
1.33%
1.37B
2.42%
1.39B
0.94%
1.50B
-6.39%
1.54B
-12.11%
1.35B
1.72%
1.36B
-16.32%
1.49B
-14.20%
1.64B
-12.93%
1.54B
-15.05%
1.34B
5.77%
1.78B
15.71%
1.92B
22.84%
1.76B
17.71%
1.57B
36.25%
1.68B
51.42%
1.66B
净利润
-625.00%
-29.00M
-662.50%
-61.00M
322.22%
60.00M
-644.29%
-381.00M
-107.69%
-4.00M
69.23%
-8.00M
-325.00%
-27.00M
118.62%
70.00M
-64.14%
52.00M
73.20%
-26.00M
-95.00%
12.00M
-287.06%
-376.00M
-38.03%
145.00M
-141.63%
-97.00M
12.15%
240.00M
204.55%
201.00M
143.75%
234.00M
1126.32%
233.00M
181.58%
214.00M
175.00%
66.00M
利润率
-618.17%
-2.10%
-712.29%
-4.66%
323.11%
4.01%
-709.41%
-23.53%
-107.59%
-0.29%
69.96%
-0.57%
-322.90%
-1.80%
116.87%
3.86%
-59.20%
3.85%
73.65%
-1.91%
--
0.81%
--
-22.88%
--
9.44%
--
-7.25%
--
--
--
--
--
--
--
--
--
--
--
--
毛利率
-10.93%
15.50%
-39.40%
11.95%
-17.79%
15.72%
-12.21%
17.40%
-18.45%
17.40%
7.40%
19.73%
3.39%
19.12%
-20.96%
19.82%
-11.44%
21.33%
21.07%
18.37%
--
18.49%
--
25.08%
--
24.09%
--
15.17%
--
--
--
--
--
--
--
--
--
--
--
--
资产负债率
2.49%
56.93%
2.62%
56.10%
1.25%
54.82%
0.50%
55.29%
10.54%
55.55%
11.70%
54.66%
8.49%
54.15%
16.12%
55.01%
5.72%
50.25%
3.43%
48.94%
--
49.91%
--
47.38%
--
47.53%
--
47.32%
--
--
--
--
--
--
--
--
--
--
--
--
利润表
营业收入
0.95%
1.38B
-4.59%
1.33B
-0.40%
1.50B
5.01%
1.61B
1.33%
1.37B
2.42%
1.39B
0.94%
1.50B
-6.39%
1.54B
-12.11%
1.35B
1.72%
1.36B
-16.32%
1.49B
-14.20%
1.64B
-12.93%
1.54B
-15.05%
1.34B
5.77%
1.78B
15.71%
1.92B
22.84%
1.76B
17.71%
1.57B
36.25%
1.68B
51.42%
1.66B
营业利润
-52.33%
41.00M
-97.50%
2.00M
-18.70%
100.00M
-230.50%
-184.00M
-27.12%
86.00M
7900.00%
80.00M
50.00%
123.00M
135.70%
141.00M
-46.36%
118.00M
150.00%
1.00M
-68.82%
82.00M
-279.55%
-395.00M
-30.16%
220.00M
-100.98%
-2.00M
-4.71%
263.00M
238.46%
220.00M
135.07%
315.00M
91.59%
205.00M
124.39%
276.00M
-5.80%
65.00M
净利润
-625.00%
-29.00M
-662.50%
-61.00M
322.22%
60.00M
-644.29%
-381.00M
-107.69%
-4.00M
69.23%
-8.00M
-325.00%
-27.00M
118.62%
70.00M
-64.14%
52.00M
73.20%
-26.00M
-95.00%
12.00M
-287.06%
-376.00M
-38.03%
145.00M
-141.63%
-97.00M
12.15%
240.00M
204.55%
201.00M
143.75%
234.00M
1126.32%
233.00M
181.58%
214.00M
175.00%
66.00M
资产负债表
流动资产
-0.17%
2.93B
-0.83%
3.00B
4.12%
3.21B
5.55%
3.10B
-18.46%
2.93B
-21.10%
3.03B
-16.37%
3.08B
-12.95%
2.94B
12.34%
3.60B
19.32%
3.83B
3.95%
3.68B
-6.43%
3.37B
-5.63%
3.20B
-3.92%
3.21B
5.10%
3.54B
18.35%
3.61B
21.79%
3.39B
27.04%
3.35B
29.40%
3.37B
12.15%
3.05B
流动负债总额
-3.83%
1.61B
-6.49%
1.69B
5.80%
1.88B
18.82%
1.85B
-25.01%
1.67B
-27.47%
1.80B
-19.04%
1.78B
-28.90%
1.56B
27.85%
2.23B
31.46%
2.49B
12.51%
2.19B
16.12%
2.19B
-1.69%
1.75B
1.78%
1.89B
9.67%
1.95B
12.66%
1.89B
18.25%
1.77B
28.85%
1.86B
36.01%
1.78B
44.81%
1.67B
总资产
-1.72%
7.27B
-1.77%
7.38B
1.43%
7.57B
3.30%
7.49B
-7.32%
7.39B
-8.92%
7.51B
-6.10%
7.46B
-5.37%
7.25B
4.64%
7.98B
8.00%
8.25B
2.62%
7.95B
-0.91%
7.66B
1.33%
7.62B
1.19%
7.64B
2.86%
7.75B
3.36%
7.73B
4.94%
7.52B
6.61%
7.55B
8.38%
7.53B
6.33%
7.48B
总负债
3.48%
7.05B
3.20%
7.13B
6.85%
7.27B
11.11%
7.25B
-5.68%
6.81B
-8.01%
6.91B
-5.38%
6.80B
-4.76%
6.52B
12.95%
7.22B
14.99%
7.51B
11.32%
7.19B
5.14%
6.85B
0.61%
6.40B
1.00%
6.53B
-1.09%
6.46B
-0.97%
6.51B
0.62%
6.36B
3.21%
6.47B
5.10%
6.53B
3.20%
6.58B
总权益
-62.76%
216.00M
-58.51%
251.00M
-54.48%
300.00M
-67.03%
239.00M
-23.08%
580.00M
-18.13%
605.00M
-12.95%
659.00M
-10.49%
725.00M
-38.60%
754.00M
-33.24%
739.00M
-41.09%
757.00M
-33.33%
810.00M
5.23%
1.23B
2.31%
1.11B
28.63%
1.28B
35.00%
1.22B
36.97%
1.17B
32.76%
1.08B
36.10%
999.00M
36.57%
900.00M
现金流量表
经营净额
60.71%
-44.00M
-0.72%
137.00M
5.04%
146.00M
115.00%
93.00M
61.38%
-112.00M
-71.49%
138.00M
6.92%
139.00M
-1116.39%
-620.00M
-133.87%
-290.00M
202.50%
484.00M
-56.81%
130.00M
-79.04%
61.00M
-6300.00%
-124.00M
-25.23%
160.00M
-3.22%
301.00M
13.67%
291.00M
-94.87%
2.00M
-39.38%
214.00M
4.01%
311.00M
130.63%
256.00M
投资净额
48.84%
-44.00M
59.81%
-43.00M
53.33%
-35.00M
40.00%
-42.00M
14.85%
-86.00M
17.69%
-107.00M
-229.31%
-75.00M
-16.67%
-70.00M
-4.12%
-101.00M
-100.00%
-130.00M
178.38%
58.00M
-71.43%
-60.00M
11.82%
-97.00M
-115.40%
-65.00M
-8.82%
-74.00M
38.60%
-35.00M
-42.86%
-110.00M
1858.33%
422.00M
-44.68%
-68.00M
-11.76%
-57.00M
融资净额
66.67%
-19.00M
-143.53%
-37.00M
81.48%
-5.00M
32.50%
-27.00M
-5.56%
-57.00M
1314.29%
85.00M
-108.31%
-27.00M
45.21%
-40.00M
20.59%
-54.00M
96.32%
-7.00M
285.71%
325.00M
44.27%
-73.00M
64.02%
-68.00M
5.47%
-190.00M
27.39%
-175.00M
-72.37%
-131.00M
-350.00%
-189.00M
-2.03%
-201.00M
29.94%
-241.00M
-130.77%
-76.00M
常见问题
Chemours Co的总收入是多少?
根据Chemours Co的FY2025财报,总收入达到了5.81B(同比变化5.78B)。
Chemours Co的流动资产是多少?
根据Chemours Co的FY2025财报,流动资产为3.00B(同比变化-0.53)。
Chemours Co的总资产是多少?
根据Chemours Co的FY2025财报,Chemours Co的总资产为7.38B(同比变化-1.69)。
Chemours Co的总负债是多少?
根据Chemours Co的FY2025财报,Chemours Co的总负债为7.13B(同比变化2.80)。
Chemours Co的总权益是多少?
根据Chemours Co的FY2025财报,Chemours Co的总权益为251.00M(同比变化-56.12)。
Chemours Co的净营业收入是多少?
根据Chemours Co的FY2025财报,Chemours Co的净营业收入为5.00M(同比变化-98.87)。
Chemours Co的净投资是多少?
根据Chemours Co的FY2025财报,Chemours Co的净投资为-206.00M(同比变化41.64)。
Chemours Co的净融资是多少?
根据Chemours Co的FY2025财报,Chemours Co的净融资为-126.00M(同比变化-250.00)。
Chemours Co的每股收益(EPS)是多少?
根据Chemours Co的FY2025财报,每股收益(EPS)为-2.57(同比变化-656.65)。
Chemours Co的净利润是多少?
根据Chemours Co的FY2025财报,净利润为-386.00M(同比变化-659.42)。
Chemours Co的净利润率是多少?
根据Chemours Co的FY2025财报,净利润率为-6.65(同比变化-656.92)。
Chemours Co的毛利率是多少?
根据Chemours Co的FY2025财报,毛利率为15.70(同比变化-20.91)。
Chemours Co的债务与资产比率是多少?
根据Chemours Co的FY2025财报,债务与资产比率为56.10(同比变化2.41)。
Chemours Co的股东权益回报率(ROE)是多少?
根据Chemours Co的FY2025财报,股东权益回报率(ROE)为-94.03(同比变化-991.26)。
Chemours Co的资产回报率(ROA)是多少?
根据Chemours Co的FY2025财报,资产回报率(ROA)为-5.18(同比变化-692.07)。
Chemours Co的营业利润是多少?
根据Chemours Co的FY2025财报,营业利润为5.00M(同比变化-98.87)。