StocksFundsScreenerSectorsWatchlists
CCF

CCF - Chase Corp Stock Price, Fair Value and News

127.49USD Delayed

Market Summary

CCF
USD127.49
Delayed

CCF Stock Price

View Fullscreen

CCF RSI Chart

CCF Valuation

Market Cap

1.2B

Price/Earnings (Trailing)

36.59

Price/Sales (Trailing)

3

EV/EBITDA

24.34

Price/Free Cashflow

18.11

CCF Price/Sales (Trailing)

CCF Profitability

Operating Margin

36.00%

EBT Margin

10.69%

Return on Equity

8.13%

Return on Assets

5.52%

Free Cashflow Yield

5.52%

CCF Fundamentals

CCF Revenue

Revenue (TTM)

404.0M

Rev. Growth (Yr)

13.76%

Rev. Growth (Qtr)

-6.05%

CCF Earnings

Earnings (TTM)

33.2M

Earnings Growth (Yr)

-42.93%

Earnings Growth (Qtr)

-51.51%

Breaking Down CCF Revenue

Last 7 days

0.4%

Last 30 days

0.1%

Last 90 days

1.1%

Trailing 12 Months

32.6%

How does CCF drawdown profile look like?

CCF Financial Health

Current Ratio

4.44

Debt/Equity

0.26

Debt/Cashflow

0.71

CCF Investor Care

Dividend Yield

0.78%

Dividend/Share (TTM)

1

Shares Dilution (1Y)

0.44%

Diluted EPS (TTM)

3.48

Historical Charts for Stock Metrics

Get all data in R, Python etc through our Historical Stock Data APIs
Net sales
YearQ1Q2Q3Q4
2023373.9M391.9M404.0M0
2022306.7M315.7M325.7M353.5M
2021264.4M279.1M293.3M301.2M
2020274.6M267.4M261.2M261.5M
2019295.5M288.7M281.4M275.6M
2018261.7M275.7M284.2M294.8M
2017244.4M245.0M252.6M253.1M
2016242.2M241.5M238.1M242.0M
2015226.9M234.2M238.0M239.6M
2014219.7M221.5M224.0M225.8M
2013189.1M209.7M216.1M216.8M
2012127.1M129.6M148.9M170.2M
2011120.9M122.0M123.0M123.9M
201000118.7M119.8M
GRUFITY'S FAIR VALUE MODEL

Stocks Marked 'Very Cheap' by Grufity's Fair Value Model Have Outperformed Russell 2000 Index

Small Caps and Mid Caps are mostly overlooked by investors as all the focus goes to Magnificent 7. These stocks that are not part of the beauty contest require a deeper look. However, all large cap stocks were once small caps. Grufity's Fair Value model opens up this unverse as it separates high-performing, rewarding stocks from low-performing risky stocks. <b>Russell 2000 stocks that were marked 'Very Cheap' by the model doubled in three years while the index was flat.</b>

PurpleZone


Returns of $10,000 invested in:

Very Cheap Stocks: $21,859
Russell 2000 Index: $10,334
Very Expensive Stocks: $8,224


Russell 2000 stocks considered 'Very Cheap' by the model greatly outperformed Russell 2000 index and the 'Very Expensive' bucket over past three years.

Russell 2000 Index
Very Expensive Stocks
Very Cheap Stocks
Try For Just $1.99

Tracking the Latest Insider Buys and Sells of Chase Corp

Filter Transactions
Datesorted ascendingNameBuy/Sell$ ValueAvg. Price# SharesTitle
Nov 15, 2023
wroe thomas jr
back to issuer
-
-
-978
-
Nov 15, 2023
mcdaniel chad a.
back to issuer
-
-
-4,177
-
Nov 15, 2023
wallace-benjamin joan
back to issuer
-
-
-2,359
-
Nov 15, 2023
chase peter r
back to issuer
-
-
-1,470
executive chairman
Nov 15, 2023
chase peter r
back to issuer
-
-
-283,359
executive chairman
Nov 15, 2023
rubin ellen
back to issuer
-
-
-1,434
-
Nov 15, 2023
chase mary claire
back to issuer
-
-
-8,407
-
Nov 15, 2023
chase peter r
back to issuer
-
-
-17,359
executive chairman
Nov 15, 2023
debyle thomas d.
back to issuer
-
-
-3,886
-
Nov 15, 2023
chase adam
back to issuer
-
-
-108,477
president/ceo

1–10 of 50

Which funds bought or sold CCF recently?

View All Details
Datesorted ascendingFund NameType% Chg$ Change$ Held% Portfolio
Apr 22, 2024
MetLife Investment Management, LLC
sold off
-100
-509,302
-
-%
Mar 22, 2024
PNC Financial Services Group, Inc.
sold off
-100
-272,781
-
-%
Mar 11, 2024
VANGUARD GROUP INC
sold off
-100
-53,585,500
-
-%
Mar 01, 2024
GOLDMAN SACHS GROUP INC
sold off
-100
-7,257,960
-
-%
Feb 28, 2024
AMERICAN INTERNATIONAL GROUP, INC.
sold off
-100
-481,693
-
-%
Feb 16, 2024
PRICE T ROWE ASSOCIATES INC /MD/
sold off
-100
-429,000
-
-%
Feb 16, 2024
PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO
sold off
-100
-77,000
-
-%
Feb 15, 2024
Baker Avenue Asset Management, LP
sold off
-100
-636
-
-%
Feb 15, 2024
Farther Finance Advisors, LLC
sold off
-100
-3,817
-
-%
Feb 15, 2024
Legal & General Group Plc
sold off
-100
-1,177,000
-
-%

1–10 of 48

Are Funds Buying or Selling CCF?

Are funds buying CCF calls or puts?
Calls
Puts
No. of funds holding Calls - Puts
Net Call Options
No. of funds that own CCF
No. of Funds

Unveiling Chase Corp's Major ShareHolders

Date FiledName of FilerPercent of ClassNo. of SharesForm Type
Nov 22, 2023
glazer capital, llc
0.00%
0
SC 13G/A
Sep 11, 2023
fmr llc
-
0
SC 13G/A
Sep 08, 2023
neuberger berman group llc
0.00%
112
SC 13G/A
Aug 31, 2023
glazer capital, llc
6.36%
604,399
SC 13G
Aug 02, 2023
edward l. chase revocable trust
8.1%
774,221
SC 13D
Jul 26, 2023
chase peter r
8.9%
840,519
SC 13D/A
Feb 10, 2023
neuberger berman group llc
8.61%
818,328
SC 13G/A
Feb 09, 2023
fmr llc
-
0
SC 13G/A
Feb 01, 2023
blackrock inc.
5.4%
511,301
SC 13G/A
Feb 11, 2022
neuberger berman group llc
8.87%
839,411
SC 13G/A

Peers (Alternatives to Chase Corp)

NameMkt Capsorted ascendingRevenuePrice %, 1MReturns, 1YP/EP/SRev 1-YrInc 1-Yr
LARGE-CAP
52.2B
12.4B
-1.22% -19.07%
22.34
4.2
-3.54% 3.06%
40.2B
44.6B
-0.71% 8.53%
60.93
0.9
-21.58% -85.78%
17.2B
7.0B
1.44% 34.61%
53.65
2.47
-7.26% -53.23%
16.9B
10.9B
-7.43% 54.65%
8.64
1.55
13.10% 3.48%
13.5B
9.6B
-2.64% -34.77%
8.6
1.41
31.38% -41.50%
11.3B
9.2B
-2.92% 20.66%
12.65
1.23
-12.95% 12.74%
MID-CAP
5.2B
3.9B
4.31% 30.95%
11.64
1.32
-9.12% 26.64%
4.5B
922.4M
-8.46% 12.07%
41.81
4.92
-2.11% 3.01%
3.9B
3.1B
3.32% 15.11%
51.87
1.26
-7.48% -89.19%
2.9B
3.1B
-2.42% 30.73%
6.33
0.93
-15.54% -65.21%
SMALL-CAP
1.2B
404.0M
0.11% 32.60%
36.59
3
24.06% -25.72%
711.3M
1.5B
-0.11% -29.27%
13.02
0.46
-21.18% -60.55%
173.7M
357.7M
3.00% 1.32%
8.55
0.49
-5.20% 66.55%
105.7M
16.7M
2.14% 18.18%
9.54
6.31
-57.58% 866.09%
3.7M
-
-80.00% -99.58%
-0.01
0.01
- -

Chase Corp News

Latest updates
Yahoo Movies Canada • 17 Apr 2024 • 11:09 pm
The Globe and Mail • 13 months ago

Chase Corp Earnings Report: Key Takeaways & Analysis

Income Statement (Last 12 Months)
(In Thousands)
Income Statement (Quarterly)
(In Thousands)
(*) denotes actual numbers (not divided by Thousands)
Description(%) Q/Q2023Q32023Q22023Q12022Q42022Q32022Q22022Q12021Q42021Q32021Q22021Q12020Q42020Q32020Q22020Q12019Q42019Q32019Q22019Q12018Q42018Q3
Revenue-6.0%10010794.0010388.0089.0074.0075.0078.0080.0068.0067.0064.0065.0066.0067.0070.0072.0067.0073.0077.00
Cost Of Revenue-1.4%66.0066.0060.0067.0054.0054.0047.0047.0048.0046.0041.0040.0039.0040.0041.0042.0044.0046.0043.0047.0048.00
  S&GA Expenses-6.8%18.0019.0018.0022.0014.0014.0013.0013.0014.0014.0012.0012.0012.0012.0013.0013.009.0013.0013.0013.0010.00
  R&D Expenses1.8%2.002.001.001.001.001.001.001.001.001.001.001.001.001.001.001.00-----
EBITDA Margin-19.5%0.13*0.16*0.17*0.17*0.19*0.20*0.20*0.21*0.21*0.22*0.21*----------
Interest Expenses-11.3%2.002.002.002.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00
Income Taxes-60.8%2.004.002.002.003.004.003.003.003.003.004.003.003.003.003.003.003.004.002.003.003.00
Earnings Before Taxes-53.9%7.0016.0011.009.0014.0019.0012.0013.0014.0018.0013.0014.0012.0013.0011.0010.0013.0012.007.0012.0014.00
EBT Margin-15.4%0.11*0.13*0.14*0.15*0.18*0.19*0.19*0.19*0.20*0.20*0.19*----------
Net Income-51.5%6.0012.009.007.0010.0016.009.0010.0011.0014.009.0011.009.0010.008.007.0010.009.005.009.0011.00
Net Income Margin-14.4%0.08*0.10*0.11*0.12*0.14*0.14*0.14*0.15*0.15*0.16*0.15*----------
Free Cashflow44.9%31.0021.0010.005.0014.0010.002.005.0018.0016.0012.00----------
Balance Sheet
(In Millions)
Balance Sheet
(In Millions)
(*) denotes actual numbers (not divided by Millions)
Description(%) Q/Q2023Q32023Q22023Q12022Q42022Q32022Q22022Q12021Q42021Q32021Q22021Q12020Q42020Q32020Q22020Q12019Q42019Q32019Q22019Q12018Q42018Q3
Assets-2.7%601617622643612421407409404390369361347334326326308300300313316
  Current Assets-5.9%185196198215437241223221213194172170178163151146134124119127126
    Cash Equivalents13.8%49.0043.0036.0056.0031512511612411910386.0090.0099.0083.0068.0066.0048.0031.0025.0036.0035.00
  Inventory-10.2%70.0077.0084.0086.0063.0059.0053.0047.0041.0038.0037.0036.0039.0041.0039.0039.0042.0046.0045.0043.0040.00
  Net PPE0%60.0060.0063.0063.0024.0024.0024.0024.0024.0025.0025.0025.0026.0027.0027.0028.0029.0030.0032.0032.0033.00
  Goodwill0.3%17817817717695.0096.0097.0097.0098.0098.0098.0095.0013.0082.0082.0082.0082.0082.0082.0085.0085.00
Liabilities-12.4%193220239270239---60.00------------
  Current Liabilities9.4%42.0038.0041.0052.0035.0030.0027.0038.0033.0027.0024.0029.0023.0023.0024.0032.0022.0023.0023.0035.0029.00
  Long Term Debt-19.2%105130145165180-------------6.0015.0025.00
    LT Debt, Current----------------------
    LT Debt, Non Current-19.2%105130145165180-------------6.0015.0025.00
Shareholder's Equity2.7%408398383373373367353343344335319307303291282273271263256248247
  Retained Earnings1.5%395389377368371361345336336325311302298289279271270260252246245
  Additional Paid-In Capital1.4%24.0024.0023.0022.0021.0021.0021.0020.0019.0019.0018.0017.0017.0016.0016.0015.0014.0015.0014.0014.0013.00
Accumulated Depreciation0%62.0062.0057.0055.0053.0053.0052.0051.0051.0052.0053.0053.0052.0052.0052.0051.0050.0049.0052.0050.0049.00
Shares Outstanding0.8%10.009.0010.009.009.009.009.009.009.009.009.009.00---------
Float---543---508---573---466---533--
Cashflow (Last 12 Months)
(In Thousands)
Cashflow (Quarterly)
(In Thousands)
(*) denotes actual numbers (not divided by Thousands)
Description(%) Q/Q2023Q32023Q22023Q12022Q42022Q32022Q22022Q12021Q42021Q32021Q22021Q12020Q42020Q32020Q22020Q12019Q42019Q32019Q22019Q12018Q42018Q3
Cashflow From Operations43.7%32,52122,62412,4336,75814,57311,5292,8545,90318,21716,61412,33414,05213,06915,2049,30818,15319,26012,9725,72611,57714,421
  Share Based Compensation17.1%917783998958729862781775769794598817835837822714544588539505564
Cashflow From Investing-22.3%-1,708-1,396-2,994-251,133-984-1,469-1,357-617-821-818-9,325-22,9631,4261,518-123-744-603-588-680-295-404
Cashflow From Financing-69.8%-25,595-15,074-29,520-15,229179,305----40681.00-7,697-226-397-484---1,110-6,000-16,340-10,000-11,831
  Dividend Payments----------------------

CCF Income Statement

2023-08-31
CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS - USD ($)
$ in Thousands
12 Months Ended
Aug. 31, 2023
Aug. 31, 2022
Aug. 31, 2021
Revenue   
Revenue$ 404,015$ 325,660$ 293,336
Costs and Expenses   
Cost of products and services sold258,574202,708174,660
Selling, general and administrative expenses77,11754,43852,100
Research and product development costs6,0354,4154,056
Operations optimization costs (Note 19)1,992842977
Acquisition-related costs (Note 14)4,2994,000128
Loss on impairment/write-off of long-term assets (Note 3, 8)1,689 100
Loss on contingent consideration (Note 14)7024321,664
Operating income53,60758,82559,651
Interest expense(8,981)(425)(297)
Other (expense) income(1,435)198(760)
Income before income taxes43,19158,59858,594
Income taxes (Note 7)10,00913,92713,674
Net income$ 33,182$ 44,671$ 44,920
Net income available to common shareholders, per common and common equivalent share (Note 4)   
Basic$ 3.49$ 4.72$ 4.75
Diluted$ 3.48$ 4.70$ 4.73
Weighted average shares outstanding   
Basic9,424,7299,399,0859,383,085
Diluted9,458,6169,434,3419,428,416
Annual cash dividends declared per share$ 1.00$ 1.00$ 0.80
Sales   
Revenue   
Revenue$ 400,882$ 322,462$ 289,802
Royalties and commissions   
Revenue   
Revenue$ 3,133$ 3,198$ 3,534

CCF Balance Sheet

2023-08-31
CONDENSED CONSOLIDATED BALANCE SHEETS - USD ($)
$ in Thousands
Aug. 31, 2023
Aug. 31, 2022
Current Assets  
Cash and cash equivalents$ 49,019$ 315,495
Accounts receivable, less allowances of $833 and $61054,28551,540
Inventory69,57663,039
Prepaid expenses and other current assets8,6254,374
Prepaid income taxes and refunds due3,2832,329
Total current assets184,788436,777
Property, plant and equipment, less accumulated depreciation of $61,678 and $52,50360,46924,248
Other Assets  
Goodwill178,21095,160
Intangible assets, less accumulated amortization of $125,939 and $101,237159,25133,661
Cash surrender value of life insurance4,4504,450
Restricted investments2,9382,367
Funded pension plan147 
Deferred income taxes35,763
Operating lease right-of-use assets6,9868,596
Other assets3,564558
Total assets600,806611,580
Current Liabilities  
Accounts payable18,31720,122
Accrued payroll and other compensation7,3036,381
Income taxes payable1,039554
Accrued expenses15,0058,271
Total current liabilities41,66435,328
Long-term debt105,000180,000
Operating lease long-term liabilities5,1106,618
Deferred compensation2,9502,375
Accumulated pension obligation4,2617,431
Other liabilities3,8502,897
Deferred income taxes27,7702,282
Accrued income taxes1,8951,820
Total liabilities192,500238,751
Commitments and contingencies (Note 10)
Equity  
First Serial Preferred Stock, $1.00 par value: Authorized 100,000 shares; none issued
Common stock, $.10 par value: Authorized 20,000,000 shares; 9,504,075 shares at August 31, 2023 and 9,462,765 shares at August 31, 2022 issued and outstanding952947
Additional paid-in capital24,14221,409
Accumulated other comprehensive loss(11,310)(20,367)
Retained earnings394,522370,840
Total equity408,306372,829
Total liabilities and equity$ 600,806$ 611,580
CCF
Chase Corporation, a specialty chemicals company, engages in the manufacture and sale of protective materials for various applications in North America, Asia, the Middle East, Europe, and internationally. It operates through three segments: Adhesives, Sealants and Additives; Industrial Tapes; and Corrosion Protection and Waterproofing. The Adhesives, Sealants and Additives segment offers protective conformal and moisture protective electronic coatings and cleaning solutions; advanced adhesives, sealants, and coatings; polymeric microspheres; polyurethane dispersions; superabsorbent polymers; and cleaning and protection solutions for electronic assemblies. The Industrial Tapes segment provides wire and cable materials; specialty tapes and related products; insulating and conducting materials; laminated durable papers; water-blocking compounds; laminated film foils and cover tapes; and pulling and detection tapes. The Corrosion Protection and Waterproofing segment offers protective pipe-coating tapes and other protectants; polymeric asphalt additives; waterproofing membranes; waterproofing sealants, expansion joints, and accessories; technological products, and tapes and membranes; specialized high-performance coating and lining systems; waterproofing and corrosion protection systems; and pipeline protection tapes and products. The company serves transportation, appliances, medical, general industrial, cable manufacturing, utilities and telecommunications, and electronics packaging markets, as well as oil companies, gas companies, and water/wastewater utilities. It sells the products through its salespeople, as well as manufacturers' representatives and distributors. Chase Corporation was founded in 1946 and is headquartered in Westwood, Massachusetts.
 CEO
 WEBSITEhttps://chasecorp.com
 INDUSTRYChemicals
 EMPLOYEES683

Chase Corp Frequently Asked Questions


What is the ticker symbol for Chase Corp? What does CCF stand for in stocks?

CCF is the stock ticker symbol of Chase Corp. Every public company that trades on a stock exchange gets a ticker symbol.

What is the market capital of Chase Corp (CCF)?

As of Wed Nov 15 2023, market cap of Chase Corp is 1.21 Billion. The market capitalization is calculated by multiplying the stock price with the number of shares outstanding.

What is the fair value of CCF stock?

You can check CCF's fair value in chart for subscribers.

What is the fair value of CCF stock?

You can check CCF's fair value in chart for subscribers. The fair value of Chase Corp is provided for various growth and macro-economic scenarios from very pessimiatic to very optimistic assumptions. These fair values are estimates from Grufity's Fair Value model based on company's past performance. However, past performance of Chase Corp is no guarantee of future performance. These fairvalue estimates should only be used as one of the inputs in your stock analysis. We provide model's historical fair value estimates for CCF so that you know how good or bad the model has been in the past so you can discard it if needed. There are others that provide fair values of stocks such as wallmine, finbox, gurufocus and finviz. Most provide point in time estimates. We provide a history of our models fair value estimates so that you can get a sense of it's usefulness. Otherwise this data point is of little use.

Is Chase Corp a good stock to buy?

The fair value guage provides a quick view whether CCF is over valued or under valued. Whether Chase Corp is cheap or expensive depends on the assumptions which impact Chase Corp's fair value. We provide several scenarios of inflation and growth to encompass these range of assumptions for CCF.

What is Chase Corp's Price to Earnings (PE) and Price to sales (PS) ratio?

As of Wed Nov 15 2023, CCF's PE ratio (Price to Earnings) is 36.59 and Price to Sales (PS) ratio is 3. The price to earnings and price to sales ratio are two most important valuation metrics for any company. PE ratio tell us the number of years of earnings investors are ready to pay for owning the company. Historically, S&P500 price to earnings ratio has fallen below 12 during periods of gloom and gone past 30 during periods of euphoria. CCF PE ratio will change depending on the future growth rate expectations of investors.

What is 5 year return on Chase Corp's stock?

In the past 10 years, Chase Corp has provided 0.16 (multiply by 100 for percentage) rate of return.