The Chemours Company
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The Chemours Company (CC)

Solvency & Capital Structure

Total Debt

$4.39B

Net Debt

$3.83B

The Chemours Company currently has $4.39B in total debt. Net debt is $3.83B after cash offsets.

Financial Fundamentals

CCQuarterly Data • 5Y View

DateTotal Debt ($B)Cash & Inv. ($B)Net Debt ($B)Total AssetsDebt/Assets
2026-03-314.390.563.837.2760.4%
2025-12-314.580.673.927.3862.1%
2025-09-304.420.613.807.5758.3%
2025-06-304.410.503.907.4958.9%
2025-03-314.380.463.927.3959.3%
2024-12-314.360.713.647.5158.0%
2024-09-304.290.603.697.4657.5%
2024-06-304.240.603.637.2558.4%
2024-03-314.260.753.517.9853.4%
2023-12-314.301.203.108.2552.1%
2023-09-304.230.853.387.9553.2%
2023-06-303.880.743.147.6650.6%
2023-03-313.870.823.057.6250.7%
2022-12-313.881.102.787.6450.8%
2022-09-303.771.172.617.7548.7%
2022-06-303.911.252.667.7350.6%
2022-03-313.951.152.817.5252.6%
2021-12-313.991.452.547.5552.8%
2021-09-304.081.033.057.5354.2%
2021-06-304.231.143.107.4856.6%
2021-03-314.241.013.237.1759.1%
2020-12-314.281.103.177.0860.4%
2020-09-304.380.963.426.9563.0%
2020-06-304.691.033.667.0366.7%
2020-03-314.330.713.626.9562.4%
2019-12-314.470.943.537.2661.6%
2019-09-304.410.693.727.4659.1%
2019-06-304.470.633.847.4360.2%
2019-03-314.240.703.557.3357.9%
2018-12-313.971.202.777.3654.0%
2018-09-304.001.272.727.5153.2%
2018-06-303.971.222.767.3454.1%
2018-03-314.161.432.727.4855.5%
2017-12-314.111.562.567.2956.4%
2017-09-304.091.532.567.1257.5%
2017-06-304.071.532.547.0557.7%
2017-03-313.550.902.656.2856.5%
2016-12-313.540.902.646.0658.5%
2016-09-303.750.962.796.2959.5%
2016-06-303.860.383.486.2262.0%
2016-03-313.950.433.526.3862.0%
2015-12-313.950.373.596.3062.8%
2015-09-303.960.213.756.4561.4%
2015-06-303.940.253.706.6859.0%
2015-03-310.000.000.006.220.0%
2014-12-310.000.000.005.980.0%
2014-09-300.000.000.006.040.0%
2013-12-310.000.000.005.620.0%