$46.70
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End-of-day quote: 06/01/2024
NYSE:SQM

Sociedad Química y Minera de Chile Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
$7.47B $10.71B $2.86B $1.82B $1.94B $2.27B $2.16B $1.94B $1.73B $2.01B $2.20B $2.43B $2.15B $1.83B $1.44B $1.77B $1.19B $1.04B $895.97M $788.52M
GM % Gross Margin %
41.18% 53.56% 38.08% 26.57% 28.81% 34.43% 35.34% 31.47% 31.40% 28.90% 32.75% 42.42% 39.87% 34.20% 36.85% 40.23% 27.35% 27.51% 27.00% 22.59%
OM Operating Margin
38.77% 52.09% 32.57% 20.16% 22.77% 29.69% 30.44% 24.33% 22.20% 21.60% 26.81% 37.15% 35.07% 27.97% 31.30% 35.40% 21.44% 20.83% 20.09% 15.53%
EPS Earnings Per Share
$0.00 $7.05 $13.68 $2.05 $0.79 $1.06 $1.67 $1.68 $1.14 $0.97 $1.09 $1.77 $2.47 $2.07 $1.45 $1.24 $1.91 $0.68 $0.54 $0.43 $0.28
Div. Dividends
$5.12 $6.12 $1.30 $0.81 $1.22 $2.06 $1.41 $1.71 $0.81 $1.13 $0.89 $1.23 $0.73 $0.73 $0.62 $2.48 $0.27 $0.28 $0.20 $0.09
PR % Payout Ratio %
72.62% 44.74% 63.41% 102.53% 115.09% 123.35% 83.93% 150.00% 83.51% 103.67% 50.28% 49.80% 35.27% 50.34% 50.00% 129.84% 39.71% 51.85% 46.51% 32.14%
Sha. Shares
285.64m 285.64m 285.64m 263.2m 263.2m 263.2m 263.2m 263.2m 263.2m 263.2m 263.2m 263.2m 263.2m 263.2m 263.2m 263.2m 263.2m 263.2m 263.2m 263.2m
OCF Operating Cash Flow
$-178.29M $4.08B $822.52M $182.23M $426.97M $524.84M $704.00M $633.66M $427.32M $591.04M $651.71M $650.21M $571.35M $618.52M $371.35M $457.31M $311.29M $221.20M $151.98M $152.03M
FCF Free Cash Flow
$1.35B $3.17B $357.80M $-16.95M $105.65M $280.15M $523.99M $508.87M $316.00M $478.90M $265.22M $204.22M $70.23M $282.53M $-4.89M $170.69M $133.26M $34.46M $-38.76M $98.56M
FCFS Free Cash Flow Per Share
$-4.47 $11.12 $1.30 $-0.50 $0.50 $0.84 $2.17 $1.91 $1.22 $1.88 $1.34 $0.76 $0.27 $1.07 $-0.02 $0.65 $0.51 $0.13 $-0.15 $0.37