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CC Stock Analysis

Data source: Trade-Ideas Alerts | 5 alerts analyzed | Backtest period: 2022-02-11 → 2024-03-07

⚠️ Small sample size (5 alerts). Statistics may have high variance. Interpret with caution.

🏢 Company Profile

📍 NYSE 📅 IPO: Jun 19, 2015 🔗 www.chemours.com
💰 Market Cap: $2.36B 👥 Employees: 6,000
The Chemours Co is a provider of chemicals. It delivers customized solutions with a wide range of industrial and specialty chemicals products for various markets including coatings, plastics, refrigeration, air conditioning, etc. The company's operating segments include Titanium Technologies, Thermal & Specialized Solutions, and Advanced Performance Materials. It generates maximum revenue from the Titanium Technologies segment. The Titanium Technologies segment is a producer of TiO2 pigment, a premium white pigment used to deliver whiteness, brightness, opacity, durability, efficiency, and protection across a variety of applications. Geographically, the company derives a majority of its revenue from North America.
📊
5
Total Alerts
🎯
80.0%
Win Rate (5MIN)
💰
+2.33%
Avg Gain (5MIN)
🚀
+6.64%
Avg MFE (Max Potential)

📈 Performance by Timeframe

5MIN

Win Rate: 80.0%
Avg Gain: +2.33%
Avg Winner: +2.96%
Avg Loser: -0.16%
Best: +5.61%
Worst: -0.16%
Trades: 4/1

15MIN

Win Rate: 40.0%
Avg Gain: -0.76%
Avg Winner: +4.15%
Avg Loser: -4.03%
Best: +4.33%
Worst: -5.56%
Trades: 2/3

30MIN

Win Rate: 40.0%
Avg Gain: -2.44%
Avg Winner: +4.02%
Avg Loser: -6.75%
Best: +4.05%
Worst: -15.12%
Trades: 2/3

60MIN

Win Rate: 60.0%
Avg Gain: +1.90%
Avg Winner: +5.45%
Avg Loser: -3.44%
Best: +10.88%
Worst: -5.00%
Trades: 3/2

EOD (End of Day)

Win Rate: 60.0%
Avg Gain: +2.88%
Avg Winner: +7.33%
Avg Loser: -3.78%
Best: +9.34%
Worst: -6.40%
Trades: 3/2

🚀 Max Favorable / Adverse Excursion (MFE/MAE)

Institutional-grade metrics showing the maximum profit potential and risk for each alert.

📈 MFE (Max Profit Potential)

Average MFE: +6.64%
Best MFE: +14.29%
Avg Time to MFE: 98 min

On average, CC alerts reach +6.64% profit potential within 98 minutes.

📉 MAE (Max Drawdown Risk)

Average MAE: -3.99%
Worst MAE: -16.06%
Avg Time to MAE: 10 min

Before reaching MFE, expect an average drawdown of 3.99%.

⚖️ Risk/Reward Ratio

1.66:1

Good risk/reward - favorable for momentum trading.

💡 Trading Insight: Based on 5 alerts, CC typically reaches +6.64% profit before pulling back. Consider setting profit targets around 5.3% to capture most of the move.

🌅 Premarket Gap Analysis (9:25 → 9:30)

Total Gaps Analyzed 5
Gap Up % 60.0%
Avg Gap +0.59%
Best Gap +3.21%

🏭 Sector Comparison: CHEMICALS & ALLIED PRODUCTS

How CC compares to 8 other tickers in the same sector.

5-Min Gain
CC: +2.33% Sector: +0.64% +1.70%
EOD Gain
CC: +2.88% Sector: +0.31% +2.57%
Avg MFE
CC: +6.64% Sector: +3.90% +2.74%

📋 Last 20 Alerts

Historical CC alerts with performance metrics calculated from 1-minute price data. Each row shows the actual price movement at different timeframes after the alert.

Date Time Price 5min 15min 30min 60min EOD MFE MAE Gap Result
2024-03-07 09:26:19 $25.66 +1.01% -2.63% -1.11% +1.52% -1.17% +1.56% -3.90% -0.62% WIN
2024-02-29 09:27:52 $17.99 +5.61% -5.56% -15.12% -5.00% +9.34% +14.29% -16.06% +0.06% WIN
2023-06-02 09:28:00 $30.89 +1.65% +3.97% +4.00% +10.88% +8.90% +10.96% -1.71% -0.63% WIN
2022-11-29 09:25:00 $29.89 +3.55% +4.33% +4.05% +3.96% +3.75% +4.65% +0.94% +3.21% WIN
2022-02-11 09:25:00 $32.05 -0.16% -3.90% -4.03% -1.87% -6.40% +1.75% +0.78% +0.94% LOSS

Table Metrics Explained:

  • 5min/15min/30min/60min/EOD: Price change at each timeframe (calculated from real minute-by-minute data)
  • MFE: Maximum Favorable Excursion - highest profit potential reached during the day
  • MAE: Maximum Adverse Excursion - worst drawdown experienced before reaching MFE
  • Gap: Premarket price gap from 9:25 AM to 9:30 AM market open
  • Result: WIN if 5min change > 0%, LOSS otherwise

🚀 Beat the 80.0% Baseline on CC

The 80.0% win rate is just the raw starting point. Launch the app to apply filters (Volume, RSI, Time) and see if you can push CC's performance to 75%+.

Optimize CC Strategy →

Why Analyze CC with FILTRIX?

🛡️ Realistic Entry Simulation

We don't inflate stats. Our analysis tracks only the first alert of the day for CC. This simulates a true "Gap & Go" entry at pre-market hours (9:25-9:30 AM), avoiding the trap of chasing a stock that has already extended.

💰 Max Potential (MFE) Analysis

How much is left in the move? On winning days, CC historically offers an average upside of +6.64% intraday. Our data helps you distinguish between a quick scalp and a runner.

📊 CC Momentum Personality

With a baseline win rate of 80.0%, CC shows strong follow-through, making it a prime candidate for momentum strategies.

⏱️ Optimized Exit Timing

Don't guess when to sell. Our backtests show CC performs best on the 5MIN timeframe (Avg Gain: +2.33%), signaling that gains often fade later in the session.