Symbol: CCF Sector: Basic Materials Industry: Chemicals
Update: 2019-06-09 14:40:01
Report Date |
Operating Revenue |
Total Revenue |
Cost of Revenue |
Gross Profit |
Operating Expense |
Operating Income |
Net Income |
Current Assets |
Total Assets |
Total Liabilities |
Shareholders Equity |
Current Cash |
Current Debt |
Total Cash |
Total Debt |
Cash Change |
Cash Flow |
R&D |
2019-02-28 |
66,631,000 |
66,631,000 |
43,213,000 |
23,418,000 |
13,086,000 |
10,332,000 |
5,273,000 |
119,249,000 |
300,123,000 |
44,488,000 |
255,635,000 |
25,088,000 |
- |
25,088,000 |
- |
-11,294,000 |
5,726,000 |
- |
Update: 2019-06-09 14:40:01
Report Date |
Operating Revenue |
Total Revenue |
Cost of Revenue |
Gross Profit |
Operating Expense |
Operating Income |
Net Income |
Current Assets |
Total Assets |
Total Liabilities |
Shareholders Equity |
Current Cash |
Current Debt |
Total Cash |
Total Debt |
Cash Change |
Cash Flow |
R&D |
2018-11-30 |
72,503,000 |
72,503,000 |
46,575,000 |
25,928,000 |
13,622,000 |
12,306,000 |
8,823,000 |
126,881,000 |
313,097,000 |
64,904,000 |
248,193,000 |
35,520,000 |
- |
35,520,000 |
- |
1,282,000 |
11,577,000 |
- |
2018-08-31 |
77,478,000 |
77,478,000 |
47,998,000 |
29,480,000 |
15,667,000 |
13,813,000 |
11,163,000 |
126,232,000 |
316,469,000 |
69,713,000 |
246,756,000 |
34,828,000 |
- |
34,828,000 |
- |
2,186,000 |
14,421,000 |
- |
2018-05-31 |
78,918,000 |
78,918,000 |
48,252,000 |
30,666,000 |
13,705,000 |
16,961,000 |
13,543,000 |
119,089,000 |
314,049,000 |
76,585,000 |
237,464,000 |
33,107,000 |
- |
33,107,000 |
- |
-9,704,000 |
11,666,000 |
- |
2018-02-28 |
65,875,000 |
65,875,000 |
41,991,000 |
23,884,000 |
12,138,000 |
11,746,000 |
10,122,000 |
126,724,000 |
323,733,000 |
98,247,000 |
225,486,000 |
44,137,000 |
- |
44,137,000 |
- |
-11,553,000 |
13,430,000 |
- |
Update: 2019-06-09 14:40:01
Report Date |
Operating Revenue |
Total Revenue |
Cost of Revenue |
Gross Profit |
Operating Expense |
Operating Income |
Net Income |
Current Assets |
Total Assets |
Total Liabilities |
Shareholders Equity |
Current Cash |
Current Debt |
Total Cash |
Total Debt |
Cash Change |
Cash Flow |
R&D |
2017-11-30 |
61,917,000 |
61,917,000 |
36,895,000 |
25,022,000 |
12,059,000 |
12,963,000 |
8,315,000 |
121,471,000 |
259,254,000 |
45,150,000 |
214,104,000 |
54,262,000 |
- |
54,262,000 |
- |
5,799,000 |
6,554,000 |
- |