Follow-The-Filings

Security

CC

Chemours Co. · COM

Equity holders as of 2026 Q1 (each manager’s latest book)

12 owners 2 new 2 exits max 0.0% (D. E. Shaw & Co., Inc.)

owners 12
max % 0.0%
tracked value $349M
qoq N 2 A 4 R 3 E 2

holders

sorted by % of portfolio · long equity only · exits show last held size

manager % port activity shares value history
D. E. Shaw & Co., Inc. 2026 Q1 0.0% Add +0.02 pp 2,851,010 $63M hist
Marshall Wace - Marshall Wace, LLP 2026 Q1 0.0% New 0.0% 1,253,283 $28M hist
Steve Cohen - Point72 Asset Management, L.P. 2026 Q1 0.0% Add +0.02 pp 609,271 $13M hist
Two Sigma Investments, LP 2025 Q4 stale 0.0% Exit -0.01 pp 743,513 $9M hist
Ray Dalio - Bridgewater Associates, LP 2026 Q1 0.0% Reduce 0.00 pp 149,257 $3M hist
Vanguard Group Inc. 2025 Q4 stale 0.0% Add 0.00 pp 17,920,868 $211M hist
Israel Englander - Millennium Management LLC 2026 Q1 0.0% Reduce -0.01 pp 365,504 $8M hist
Cliff Asness - Aqr Capital Management LLC 2026 Q1 0.0% Reduce 0.00 pp 286,758 $6M hist
Ken Griffin - Citadel Advisors LLC 2026 Q1 0.0% Add 0.00 pp 285,007 $6M hist
Norges Bank 2025 Q4 stale 0.0% Exit 0.00 pp 53,172 $627 hist
Natixis Advisors, LLC 2026 Q1 0.0% New 0.0% 12,196 $269 hist
Ancora Advisors LLC 2026 Q1 0.0% 743 $16 hist
Dmitry Balyasny - Balyasny Asset Management L.P. exited 2026 Q1 last 2025 Q4 0.0% Exit -0.01 pp 710,854 $8M hist
Joel Greenblatt - Gotham Asset Management, LLC exited 2026 Q1 last 2025 Q4 0.0% Exit 0.00 pp 22,474 $265 hist

financials

US-GAAP annual · as tagged in Form 10-K · fiscal years · values link to the SEC filing

Income statement

Metric FY2023 FY2024 FY2025
Revenue $1.54B $1.36B $1.37B
Gross profit $1.05B $286M $902M
Gross margin * 68.4% 21.0% 65.9%
Net income $145M $52M -$5M
Net margin * 9.4% 3.8% -0.4%

Balance sheet

Metric FY2023 FY2024 FY2025
Total current assets $3.84B $3.03B $3B
Total non-current assets * $4.42B $4.49B $4.38B
Total assets $8.25B $7.52B $7.38B
Total current liabilities $1.74B $1.8B $1.67B
Total non-current liabilities * $5.45B $5.11B $5.14B
Total equity $737M $604M $566M

Cash flow

Metric FY2023 FY2024 FY2025
Cash from operations -$124M -$633M -$112M
Cash from investing -$229M -$353M -$206M
Cash from financing -$68M -$36M -$126M
Net change in cash $503M -$1.04B -$39M

ownership over time

filing count by report period · click a bar for that quarter’s holders