The Chemours Company (CC) changed 1.28% to recent value of $33.92. The stock transacted 1003233 shares during most recent day however it has an average volume of 2012.64K shares. It spotted trading -37.31% off 52-week high price. On the other end, the stock has been noted 34.76% away from the low price over the last 52-weeks.
The Chemours Company (NYSE: CC) declared a global price increase on all sodium cyanide products from the company’s Mining Solutions business. Effective February 1, 2019 or as contracts or law allow, a price increase of 20 percent will apply for all sodium cyanide package offerings, although some price adjustments may vary based on specific circumstances.
The Chemours Company (NYSE: CC) helps create a colorful, capable and cleaner world through the power of chemistry. Chemours is a global leader in titanium technologies, fluoroproducts and chemical solutions, providing its customers with solutions in a wide range of industries with market-defining products, application expertise and chemistry-based innovations. Chemours ingredients are found in plastics and coatings, refrigeration and air conditioning, mining and general industrial manufacturing. Our flagship products include prominent brands such as Teflon™, Ti-Pure™, Krytox™, Viton™, Opteon™, Freon™ and Nafion™. Chemours has approximately 7,000 employees and 26 manufacturing sites serving approximately 4,000 customers in North America, Latin America, Asia-Pacific and Europe.
CC has a gross margin of 30.50% and an operating margin of 18.60% while its profit margin remained 16.00% for the last 12 months. Its earnings per share (EPS) expected to touch remained 47.60% for this year while earning per share for the next 5-years is expected to reach at 1.50%.
The company has 176.49M of outstanding shares and 167.92M shares were floated in the market. According to the most recent quarter its current ratio was 2 that represents company’s ability to meet its current financial obligations. The price moved ahead of 8.15% from the mean of 20 days, 14.53% from mean of 50 days SMA and performed -17.09% from mean of 200 days price. Company’s performance for the week was 0.80%, 29.27% for month and YTD performance remained 20.20%.
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