Back to AMERIPRISE FINANCIAL INC AMERIPRISE FINANCIAL INC

CCCC
29 quarters

Position history for AMERIPRISE FINANCIAL INCAMERIPRISE FINANCIAL INC's holdings in CHEMOURS CO

AMERIPRISE FINANCIAL INC holds 4.8M shares of CC (CHEMOURS CO), worth $106.6M as of 2026-Q1. The position was increased (+7.4% shares). CC represents 0.0% of AMERIPRISE FINANCIAL INC's portfolio.

Current Value

$106.6M

Current Shares

4.8M

Total Value Change

+$87M

Total Shares Change

+4.3M

Quarter-by-Quarter History
QuarterActionSharesChangeValueWeightPriceConviction
2026-Q1
Latest
Increased
4.8M
+7.4%
$106.6M0.0%$16.77
32
2025-Q4
Decreased
4.5M
-6.0%
$53.1M0.0%$11.82
0
2025-Q3
Increased
4.8M
+13.8%
$76M0.0%$15.49
34
2025-Q2
Increased
4.2M
+21.6%
$48.3M0.0%$11.57
35
2025-Q1
Decreased
3.5M
-20.7%
$46.9M0.0%$13.43
0
2024-Q4
Increased
4.4M
+23.8%
$73.9M0.0%$16.20
36
2024-Q3
Increased
3.5M
+23.6%
$71.8M0.0%$19.70
36
2024-Q2
Increased
2.9M
+0.3%
$64.5M0.0%$21.16
29
2024-Q1
Increased
2.9M
+0.6%
$74.8M0.0%$24.41
30
2023-Q4
Increased
2.8M
+9.8%
$89.4M0.0%$29.07
33
2023-Q3
Decreased
2.6M
-0.8%
$72.4M0.0%$25.59
0
2023-Q2
Increased
2.6M
+36.7%
$96M0.0%$32.51
39
2023-Q1
Decreased
1.9M
-8.3%
$57M0.0%$26.60
0
2022-Q4
Increased
2.1M
+36.6%
$63.5M0.0%$27.28
39
2022-Q3
Decreased
1.5M
-5.4%
$37.4M0.0%$21.40
0
2022-Q2
Decreased
1.6M
-11.5%
$51.4M0.0%$27.86
0
2022-Q1
Decreased
1.8M
-1.2%
$57.1M0.0%$28.12
0
2021-Q4
Increased
1.8M
+14.3%
$61.7M0.0%$28.69
34
2021-Q3
Increased
1.6M
+6.4%
$46.7M0.0%$25.14
31
2021-Q2
Increased
1.5M
+242.1%
$52.6M0.0%$29.40
47
2021-Q1
Increased
441,541
+4.4%
$12.3M0.0%$23.49
29
2020-Q4
Decreased
422,953
-7.7%
$10.5M0.0%$21.19
0
2020-Q3
Increased
458,414
+28.6%
$9.6M0.0%$16.80
35
2020-Q2
Decreased
356,518
-8.8%
$5.5M0.0%$12.52
0
2020-Q1
Decreased
390,802
-16.2%
$3.5M0.0%$7.75
0
2019-Q4
Increased
466,452
+2.0%
$8.4M0.0%$13.87
28
2019-Q3
Decreased
457,485
-0.7%
$6.8M0.0%$11.28
0
2019-Q2
Decreased
460,821
-12.3%
$11.1M0.0%$18.27
0
2019-Q1
New
525,556
-
$19.5M0.0%$28.00
39

Other major holders of CC: BlackRock Finance, Inc., BlackRock, Inc.

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