The Chemours Company / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €5.49B +4.5% €343.84M +27.0% 6.3% +0.011 pp €202.15M +4.6% 3.7% +0.000028 pp
    (estimated) €5.26B +4.6% €270.66M +69.2% 5.1% +0.020 pp €193.34M +83.8% 3.7% +0.016 pp
    (estimated) €5.03B +2.0% €160.00M +118.1% 3.2% +0.017 pp €105.19M -145.2% 2.1% +0.068 pp
    €4.93B -4.1% €73.35M -136.1% 1.5% +0.054 pp -€232.86M -129.5% -4.7% -0.20 pp
    €5.14B -11.3% -€203.00M -141.2% -3.9% -0.12 pp €789.83M -12.7% 15.4% -0.0025 pp
    €5.79B +7.1% €493.01M -4.9% 8.5% -0.011 pp €904.98M -3.3% 15.6% -0.017 pp
    €5.41B +27.7% €518.59M +177.6% 9.6% +0.052 pp €935.69M +2.1% 17.3% -0.043 pp
    €4.24B -10.1% €186.80M -521.2% 4.4% +0.053 pp €916.07M -5.0% 21.6% +0.011 pp
    €4.71B -16.8% -€44.35M -105.2% -0.9% -0.16 pp €964.69M -31.0% 20.5% -0.042 pp
    €5.66B +7.4% €848.69M +33.4% 15.0% +0.029 pp €1.40B +56.0% 24.7% +0.077 pp
    €5.27B +14.5% €636.30M +10,557.1% 12.1% +0.12 pp €895.60M +12.7% 17.0% -0.0028 pp
    €4.61B -5.5% €5.97M -107.8% 0.1% +0.017 pp €794.95M +33.0% 17.3% +0.050 pp
    €4.88B -11.1% -€76.77M -122.5% -1.6% -0.078 pp €597.92M -36.8% 12.3% -0.050 pp
    €5.49B -6.2% €341.18M -5.4% 6.2% +0.00052 pp €945.92M -10.3% 17.2% -0.0078 pp
    €5.85B -6.9% €360.80M -60.0% 6.2% -0.082 pp €1.05B -32.2% 18.0% -0.067 pp
    €6.28B €901.57M 14.4% €1.55B 24.7%

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