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Sociedad Qumica y Minera de Chile S.A.
(NYSE:SQM) 

SQM stock logo

Sociedad Qumica y Minera de Chile S.A. produces and distributes specialty plant nutrients, iodine and its derivatives, lithium and its derivatives, potassium chloride and sulfate, industrial chemicals, and other products and services worldwide. The company offers specialty plant nutrients, including...

Founded: 1968
Full Time Employees: 5,598
Sector: Basic Materials
Industry: Chemicals

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Quarterly
Annual
    Unit: USD2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-04-29 2024-03-31 2024-02-28 2023-12-31 2023-12-13 2023-11-15 2023-08-16 2023-06-30 2023-06-08 2023-05-17 2023-03-02 2022-12-31 2022-11-23 2022-11-16 2022-05-27 2022-03-04 2022-03-02 2021-11-30 2021-11-17 2021-08-31 2021-08-18 2021-06-01 2021-05-19 2021-03-05 2021-03-03 2020-12-03 2020-11-18 2020-09-10 2020-08-19 2020-06-05 2020-05-19 2020-03-23 2019-12-18 2016-12-31 2016-11-23 2015-12-31 2014-11-18 2013-12-31 2013-08-27 2012-03-20 2011-12-31 2011-12-22 2011-09-22 2011-01-10 2010-12-31 2010-07-20 2010-04-07 2009-10-27 2009-08-11 2009-06-16 2008-11-21 2008-09-05 2008-04-29 2007-12-07 2007-09-14 2007-04-24 2006-12-31 2006-10-24 2006-04-25 2005-12-31 2005-11-07 2005-08-09 2005-04-26 2004-12-31 2004-09-30 2004-06-30 2004-06-15 2003-12-31 2002-12-31 2002-09-30 
                                                                                
      revenues
    1,173,000,000 1,042,700,000           2,051,700,000   2,263,900,000    2,958,300,000       588,000,000  528,500,000  1,817,200,000  452,900,000  458,500,000  392,000,000   1,937,915,000 504,000,000 205,500,000 466,400,000  566,500,000                                
      lithium and derivatives
    603,700,000 445,200,000                                                                           
      specialty plant nutrition
    259,800,000 260,300,000           247,500,000   220,900,000    292,500,000       217,200,000  194,100,000  701,700,000  174,800,000  182,700,000  165,100,000   121,775,000 154,900,000                                    
      iodine and derivatives
    244,600,000 271,300,000                                                                           
      potassium
    33,800,000 40,400,000                                                                           
      industrial chemicals
    19,100,000 19,200,000           47,100,000   65,900,000    45,200,000       17,200,000  36,700,000  160,600,000  33,800,000  59,100,000  14,600,000   10,825,000 12,800,000 20,775,000 22,400,000  38,900,000                                
      other income
    12,100,000 6,300,000 1,334   2,565 40,557 1,291   36,426  5,100,000 32,188 17,661 4,200,000   7,582 10,500,000 2,622 19,552  16,064  14,739 7,700,000 2,768 6,500,000 26,893 27,600,000 22,817 9,400,000 6,472 5,800,000 2,243 5,900,000 18,218,000 12,736 -31,300,000 20,400,000 -38,200,000 24,200,000  24,400,000                                
      cost of sales
    -827,200,000 -789,100,000 -731,946   -1,625,659 -4,392,436 -715,988   -3,481,524   -2,394,904 -1,198,250    -3,482,224  -855,161 -1,772,208    -793,925  -391,834  -1,334,321  -953,026  -614,918  -284,292  -1,383,603,000 -1,049,223       -1,290,494  -967,506 -634,520 -870,364  -257,025 -916,088 -648,453 -393,853 -180,429 -830,804 -502,854  -631,970 -394,485 -164,120               
      gross profit
    345,800,000 253,600,000 304,684   752,475 3,075,054 368,529   2,674,327  855,100,000 1,920,687 1,065,600 1,065,600,000   4,094,755 1,632,700,000 1,164,657 1,090,107  547,334  322,547 185,900,000 136,643 136,600,000 482,870 482,900,000 350,359 114,800,000 235,592 127,800,000 107,745 107,700,000 560,052,000 422,213 204,800,000 145,700,000     854,792  638,873 397,180 454,372  131,498                         
      yoy
     33602.12% -90.09%    14.98%    150.97%    -73.98% -34.73%    298200.49%  237.97%  300.56%  -33.20% -61.50% -61.00% 18.99% 104.96% 277.86% 225.17% 6.59% -99.96% 30169.08% -99.95% -26.08%         88.13%  385.84%                             
      qoq
    36.36% 83133.78%    -75.53% 734.41%      44420.53% 80.24% -99.90%    -99.75% 140087.20% 6.84%     -99.83% 135947.95% -99.90% 28189.19% -99.90% 137730.05% -99.69% 48628.31% -99.82% 118513.39% -99.90% -80.77% 132546.79% -99.79% 40.56%        60.85% -12.59%                            
      gross margin %
    Infinity% Infinity% 29.39% NaN% NaN% 31.64% 41.18% 33.98% NaN% NaN% 43.44% NaN% Infinity% 44.51% 47.07% Infinity% NaN% NaN% 54.04% Infinity% 57.66% 38.08% NaN% 30.78% NaN% 28.89% Infinity% 25.86% Infinity% 26.57% Infinity% 26.88% Infinity% 27.70% Infinity% 27.48% Infinity% 28.81% 28.69% Infinity% Infinity% NaN% NaN% NaN% NaN% Infinity% NaN% Infinity% Infinity% 34.30% NaN% Infinity% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN%  NaN% NaN% 
      administrative expenses
    -49,300,000 -47,600,000 -43,368   -83,662 -175,765 -38,321   -126,770  -45,200,000 -86,631 -41,472 -41,500,000   -102,343 -35,400,000 -33,379 -118,893    -53,883 -29,200,000 -24,635 -24,600,000 -107,017 -107,000,000 -74,630 -25,700,000 -48,918 -24,400,000 -24,533 -24,500,000 -117,180,000 -83,767 -25,800,000 -21,800,000 -19,000,000 -23,000,000  -27,400,000 -91,760  -66,713 -43,148 -55,455  -17,774                         
      financial expenses
    -47,400,000 -45,300,000           -32,000,000   -27,300,000    -16,600,000       -19,400,000  -19,900,000  -82,200,000  -20,700,000  -21,300,000  -23,100,000   -11,300,000 -12,800,000 -11,425,000 -14,800,000  -14,300,000                                
      financial income
    22,000,000 21,000,000           21,000,000   30,700,000    8,200,000       1,100,000  800,000  13,700,000  2,200,000  3,600,000  6,800,000   2,000,000 1,400,000 2,925,000 4,900,000  3,000,000                                
      exchange difference
    -100,000 3,700,000           -3,100,000   5,100,000    -11,500,000       -6,400,000  -2,300,000  -4,400,000  -200,000  -4,100,000  -2,700,000   -150,000 1,000,000 -3,025,000 -7,700,000  -4,100,000                                
      other
    -5,400,000 -38,500,000           6,300,000   900,000   -364 -23,100,000       -4,900,000  5,200,000  -64,400,000  -60,600,000  -4,900,000  1,800,000   -6,325,000 -32,700,000 -4,725,000 -3,600,000  -2,100,000                                
      income before taxes
    265,600,000 147,000,000 211,718   587,375 2,807,018 300,176     802,100,000   1,033,400,000    1,554,300,000       127,000,000  95,700,000  238,500,000  9,600,000  76,700,000  66,000,000   70,125,000 80,800,000 77,450,000 98,200,000  143,000,000                                
      income tax
    -85,600,000 -57,600,000           -221,400,000   -281,900,000    -451,500,000       -36,100,000  -26,000,000  -70,200,000  -6,300,000  -25,500,000  -20,600,000   -20,275,000 -23,800,000 -21,775,000 -29,300,000  -34,100,000                                
      net income before minority interest
    180,000,000 89,400,000           580,800,000   751,500,000    1,102,800,000       90,900,000  69,700,000  168,400,000  3,300,000  51,200,000  45,500,000   49,850,000 57,000,000 55,675,000 68,900,000  109,000,000                                
      minority interest
    -1,600,000 -1,000,000           -500,000   -1,600,000    -2,900,000       -1,100,000  -1,700,000  -3,800,000  -1,600,000  -400,000  -500,000   -500,000 -1,200,000 -1,075,000 -2,500,000  -1,600,000        -1,334 758 1,650 987 -7,485 -7,449  -2,330 -1,143 -553               
      net income
    178,400,000 88,400,000 138,334   435,616 2,019,743 -868,667     580,200,000   749,900,000    1,099,900,000       89,800,000  68,000,000  164,500,000  1,700,000  50,800,000  45,000,000   49,350,000 55,800,000 54,600,000 66,400,000  107,400,000 554,119  392,443 245,637     251,697 169,395 86,273 381,071 190,496 64,784 135,434                 
      yoy
     20193.10% -93.15%             -31.82%           -45.41%  3900.00%  223.82%  -96.22%    -19.35%    -48.04% 9753.48%   43623.05%         32.13% 161.48% -36.30%                     
      qoq
    101.81% 63803.31%    -78.43% -332.51%                                 -11.56% 2.20% -17.77%   19282.12%   59.77%      48.59% 96.35% -77.36% 100.04% 194.05% -52.17%                  
      net income margin %
    Infinity% Infinity% 13.34% NaN% NaN% 18.32% 27.05% -80.10% NaN% NaN% 0% NaN% Infinity% 0% 0% Infinity% NaN% NaN% 0% Infinity% 0% 0% NaN% 0% NaN% 0% Infinity% 0% Infinity% 0% Infinity% 0% Infinity% 0% Infinity% 0% Infinity% 0% 0% Infinity% Infinity% Infinity% Infinity% NaN% Infinity% Infinity% NaN% Infinity% Infinity% 0% NaN% NaN% NaN% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN%  NaN% NaN% 
      net income per share
    0.62 0.31           2.03   2.63    3.85       0.31  0.26  0.63  0.01  0.19  0.17   0.188 0.21 0.208 0.25  0.41                                
      revenue
      1,036,630   2,378,134 7,467,490 1,084,517   6,155,851   4,315,591 2,263,850    7,576,979  2,019,818 2,862,315  1,778,023  1,116,472  528,477  1,817,191  1,303,385  850,510  392,037  1,943,655,000 1,471,436           1,324,736                           
      yoy
      -86.12%    21.31%    171.92%    -70.12%       156.37%  236.44%  -38.56%  -59.45%  113.66%  232.46%  -99.96%                                           
      qoq
         -68.15% 588.55%       90.63%       -29.43%                 131992.39%                                       
      other incomes
      -16,579   -43,113 -93,400 -16,201   -27,772   -21,982 -15,959    -56,264  -4,552 -60,605    -14,560  -1,098  -99,612                                               
      impairment of financial assets and reversal of impairment losses
      -28   1,481 202            -5,745  -4,965 -235  282  -644  1,240  4,684  1,244                                             
      other losses
      -1,108                       -4,865    -5,313                                               
      income from operating activities
      244,935   627,601 2,844,394 313,838                                                                     
      finance income
      19,660   48,548 122,726 26,320   85,685   51,651 30,694    17,912  2,812 4,668  2,852  1,886  799  13,715  12,485  10,319  6,761  26,289,000 19,300           6,501                           
      finance costs
      -53,939   -101,282 -138,402 -46,839   -89,580   -59,320 -27,348    -65,413  -25,448 -84,626    -39,333  -19,920  -82,199  -65,068  -44,357  -23,067  -76,939,000 -58,900                                      
      share of profit of associates and joint ventures accounted for using the equity method
      2,832    593       -2,669 425    17,499  9,861 11,132  7,330  5,561  2,239  8,940  7,920  6,393  1,618  9,786,000 8,776                                      
      foreign currency translation differences
      -1,770   5,606 -22,293 2,302   -16,238   1,977 5,102    -26,298  -644 -17,241    -8,743  -2,326  -4,423  -6,990  -6,747  -2,661  -2,169,000 -1,045           -6,875                           
      income tax expense
      -73,384   -151,759 -787,275 -1,168,843   -719,321   -503,265 -281,901    -1,119,584  -314,073 -249,016    -62,080  -26,000  -70,179      -20,592          -179,710  -132,696 -83,393 -84,359   -76,532 -60,434 -42,464 -21,038 -80,988 -43,081  -38,256 -24,075 -10,557               
      net (losses) income
      138,334                                                                          
      net income (losses) attributable to:
                                                                                
      net income (losses) attributable to owners of the parent
      137,528                                                                          
      net income attributable to non-controlling interests
      806   2,058 7,076 841                                                                     
      others gains
         -2,145                                                                       
      share of profit from associates and joint ventures accounted for using the equity method
         6,902  4,555   -897                                                                  
      net income attributable to:
                                                                                
      net income attributable to owners of the parent
         433,558 2,012,667 -869,508                                                                     
      consolidated statements of income
                                                                                
      other gains
          -2,254    208   1,288 -287      483 -2,638           -5,820  699  -383,000 -821       5,787  4,629 4,712 -5,870  -7,146                         
      basic earnings per share
          7.046    6.335   4.657 2.625    9.646  2.787 2.05  0.924  0.552  0.258  0.625  3,705  3,641  0.171  1.057 0.803       2.074  1.47 0.926                            
      diluted earnings per share
          7.046    6.335   4.657            0.552             0.803                                      
      reversal (impairment) of value of financial assets
           576                                                                     
      others
           -2,036                                                                     
      (impairment) reversal of value of financial assets impairment losses
              -2,175   -1,620 -977                                                              
      profit from operating activities
              2,554,244   1,843,930 1,024,566    3,937,621  1,124,866 927,288  436,362  263,334  114,922  302,505  204,056  177,147  83,396  433,655,000 328,366                                      
      profit before taxes
              2,533,214   1,835,569 1,033,439    3,881,321  1,111,447 841,221  375,075  222,705  95,714  238,538  152,403  142,755  66,047  390,622,000 296,497                                      
      net profit
              1,813,893   1,332,304 751,538    2,761,737  797,374 592,205  269,187  160,625                                                   
      profit attributable to:
                                     96,689  45,455  280,603,000 212,448                                      
      profit attributable to owners of the parent
              1,809,490   1,330,122 749,895    2,755,287  796,119 585,454  263,876  157,773  67,972  164,518  97,525  95,821  44,987  278,115,000                                       
      profit attributable to non-controlling interests
              4,403   2,182 1,643    6,450  1,255 6,751  5,311  2,852  1,742  3,841  2,503  868  468  2,488,000                                       
      earnings per share
                 2,023 2,023    9.646  2.787 2,021  0.924      2,020        2,019                                       
      common shares
                                                                                
      diluted common shares
                                                                                
      ​
                                                                                
      lithium and lithium derivatives
                1,464,600,000   1,646,200,000    2,334,900,000       163,000,000  135,200,000  383,400,000  95,300,000  85,900,000  65,300,000   84,475,000 145,100,000 38,600,000 50,300,000  50,500,000                                
      iodine and iodine derivatives
                221,300,000   239,600,000    215,100,000       123,900,000  95,600,000  334,700,000  74,100,000  90,900,000  97,800,000   43,775,000 56,500,000 65,775,000 79,800,000  106,700,000                                
      potassium chloride & potassium sulfate
                66,200,000   86,900,000    60,200,000       59,000,000  60,300,000  209,300,000  65,500,000  34,200,000  43,300,000   74,025,000 114,400,000 108,750,000 135,400,000  164,100,000                                
      cost of goods sold
                -1,130,000,000   -1,134,600,000    -1,262,600,000       -348,700,000  -338,800,000  -1,130,400,000  -281,100,000  -280,500,000  -234,600,000   -200,125,000 -300,500,000 -224,650,000 -258,600,000  -325,900,000                                
      depreciation and amortization
                -66,600,000   -63,600,000    -63,000,000       -53,400,000  -53,100,000  -203,900,000  -57,000,000  -50,100,000  -49,700,000   -44,700,000 -57,800,000 -45,400,000 -65,400,000  -52,700,000                                
      includes other specialty fertilizers
                                                                                
      sqm s.a. 2q2023 earnings release
                                                                                
      sqm s.a. 1q2023 earnings release
                                                                                
      consolidated interim statements of income
                                                                                
      3)
                                                                                
      4)
                                                                                
      profit for the period
                          323,000,000  108,400,000                                                    
      (+) depreciation and amortization expenses
                          51,700,000  56,100,000                                                    
      (+) finance costs
                          26,000,000  19,300,000                                                    
      (+) income tax expense
                          143,100,000  43,800,000                                                    
      ebitda
                          543,900,000  227,600,000                                                    
      (-) other income
                          3,500,000  1,300,000                                                    
      (-) other gains
                          1,200,000  900,000                                                    
      (-) share of profit of associates and joint ventures accounted for using the equity method
                          3,800,000  1,800,000                                                    
      (+) other expenses
                          -21,000,000  -25,100,000                                                    
      (+) impairment of financial assets and reversal of impairment losses
                          -500,000  900,000                                                    
      (-) finance income
                          1,800,000  1,000,000                                                    
      (-) foreign currency translation differences
                          -4,400,000  -4,100,000                                                    
      adjusted ebitda
                          559,500,000  250,900,000                                                    
      5)
                                                                                
      profit net
                               69,714  168,359  100,028                                             
      other incomes by function
                                   -83,693  -12,068  -4,527  -25,995,000 -16,116       -63,047  -40,977 -26,863                            
      other (losses
                                   -12,041                                             
      income tax expense, continuing operations
                                   -52,375  -46,066    -110,019,000 -84,049                                      
      impairment of income and reversal of impairment losses
                                     1,889    -1,057,000 -5,879                                      
      profit from continuing operations
                                     96,689    280,603,000 212,448                                      
      impairment of financial assests and reversal of impairment losses
                                       1,769                                         
      profit
                                       45,455              279,441                           
      basic earnings per share (us per share) from continuing operations
                                                                                
      owners of the parent
                                          211,224                                      
      non-controlling interests
                                          1,224       8.361  5,581 2,021                            
      profit for the year
                                          212,448                                      
      specialty plant nutrition*
                                             133,425,000 154,300,000  181,800,000                                
      gross margin
                                             110,650,000 142,400,000          520,803 400,729 271,811 140,468 545,421 284,266 104,243 249,316 164,307 73,029  221,273,000 64,185,000  184,575 119,262 52,138  133,007 81,139,000 37,242   92,998,000 
      *includes other specialty fertilizers
                                                                                
      sales
                                                 2,145,286  1,606,379 1,031,700    1,436,891 1,049,182 665,664 320,897 1,376,225 787,120 326,335 881,286 558,792 237,149  775,845,000 219,136,000  681,098 436,224 206,502  603,574 379,859,000 171,586   413,771,000 
      other income by function
                                                 47,681  6,313 5,377 5,617                           
      interest income
                                                 23,210  17,376 11,492                            
      finance expenses
                                                 -39,335  -30,289 -22,618 -26,534                           
      equity in income of associates and joint ventures accounted for using the equity method
                                                 21,808  14,914 10,039                            
      foreign currency transactions
                                                 -25,307  -18,987 -7,141                            
      income before income tax
                                                 733,829  525,139 329,030                            
      equity holders of the parent
                                                 545.758  386,862 243,616                            
      net income for the year
                                                 554.119  392,443 245,637    327,056        93,944 42,963  111,622,000 34,287,000  86,704 54,496 24,751   29,862,000 13,997   30,383,000 
      earnings per share common shares
                                                                                
      other expenses by function
                                                     -16,255                           
      equity in gains of associates and joint ventures accounted for using the equity method
                                                     8,299                           
      profit (loss) before income tax
                                                     363,800                           
      profit (loss) from continuing operations
                                                     279,441                           
      gain (loss) attributable to
                                                                                
      gain (loss) attributable to the owners of the parent
                                                     276,325                           
      gain (loss) attributable to non-controlling interest
                                                     3,116                           
      profit (loss) for the period
                                                     279,441                           
      diluted earnings per share (us per share) from continuing operations
                                                                                
      total common revenue
                                                       388,523                         
      other income, by function
                                                       1,625                         
      other incomes, by function
                                                       -5,044                         
      financial operating income
                                                       2,268                         
      financial costs
                                                       -7,786                         
      equity participation in income of associated companies and joint ventures accounted for using the equity method
                                                       3,059                         
      exchange differences
                                                       -3,133                         
      income, before income tax
                                                       97,567                         
      expense due to income taxes
                                                       -20,696                         
      income from continuing operations
                                                       76,871                         
      income
                                                       76,871                         
      income, attributable to
                                                                                
      income attributable to equity holders of the controlling interest
                                                       76,493                         
      gain attributable to minority interest
                                                       378                         
      total income attributable to equity holders of the controlling interest and minority interest
                                                       76,871                         
      operating results
                                                                                
      selling and administrative expenses
                                                        -78,895 -58,763 -39,956 -20,962 -64,037 -41,942  -49,907 -32,050 -14,232               
      operating income
                                                        441,908 341,966 231,855 119,506 481,384 242,324 86,222 199,409 132,257 58,797  170,504,000 48,552,000  138,128 88,900 37,897  93,436 53,813,000 23,986   60,667,000 
      yoy
                                                        -8.20% 41.12% 168.90% -40.07% 263.98% 312.14%  -99.88% -99.73%   191693.03% 128015.68%  47.83% -99.83% 58.00%   -11.30%     
      qoq
                                                        29.23% 47.49% 94.01% -75.17% 98.65% 181.05% -56.76% 50.77% 124.94%   251.18%   55.37% 134.58%   -99.83% 224251.71%     
      operating margin %
    NaN% NaN% 0% NaN% NaN% 0% 0% 0% NaN% NaN% 0% NaN% NaN% 0% 0% NaN% NaN% NaN% 0% NaN% 0% 0% NaN% 0% NaN% 0% NaN% 0% NaN% 0% NaN% 0% NaN% 0% NaN% 0% NaN% 0% 0% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% 0% NaN% NaN% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% NaN% Infinity% Infinity% NaN% Infinity% Infinity% Infinity% NaN% Infinity% Infinity% Infinity%  NaN% Infinity% 
      non-operating results
                                                                                
      non-operating income
                                                        40,472 19,044 13,195 6,017 32,245 23,120 7,769 17,773 13,518 8,249  14,269,000 4,519,000  11,590 8,521 3,978  18,336 7,877,000 4,115   9,046,000 
      non-operating expenses
                                                        -77,458 -49,637 -34,841 -19,199 -44,085 -24,418  -41,162 -26,613 -12,973               
      income before income taxes and minority interest
                                                        404,922                        
      income before minority interest
                                                        328,390 250,939 167,745 85,286 388,556 197,945 69,342 137,764 95,087 43,516  114,073,000 34,623,000  87,605 55,464 25,395  59,544 31,549,000 14,741    
      income before income taxes
                                                         311,373 210,209 106,324 469,544 241,026 82,612 176,020 119,162 54,073  145,130,000 43,014,000  114,161 72,092 32,580  79,371 42,929,000 19,142   40,014,000 
      net income before negative goodwill
                                                         251,697 169,395 86,273 381,071 190,496 64,784  93,944 42,963  111,554,000 34,236,000  86,524 54,394 24,691  55,449 29,760,000 13,946    
      income before negative goodwill
                                                               135,434                 
      amortization of negative goodwill
                                                                   68,000 51,000  180 102 60  153 102,000 51   310,000 
      income taxes
                                                                                
      consolidated income
                                                                               31,928,000 
      net income before extraordinary items
                                                                               30,073,000 
      extraordinary items
                                                                                
    Balance Sheets:
    Quarterly
    Annual
      Unit: USD2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-11-15 2023-08-16 2023-05-17 2023-02-28 2022-11-16 2022-08-17 2022-05-18 2022-03-04 2022-03-02 2021-11-30 2021-11-17 2021-08-31 2021-08-18 2021-06-01 2021-05-19 2021-03-05 2021-03-03 2021-03-02 2020-12-03 2020-11-18 2020-09-10 2020-08-19 2020-05-19 2020-03-23 2020-03-03 2019-09-13 2017-05-17 2015-06-30 2015-04-06 2014-12-31 2013-12-31 2013-04-11 2012-12-07 2011-01-10 2010-04-07 2009-10-27 2009-06-16 2008-09-30 2007-09-14 2006-12-31 2005-12-31 2005-10-25 2004-12-31 2003-12-31 
                                                         
        total current assets
      5,521,700,000 5,487,700,000  5,578,400,000 5,608,100,000 5,229,700,000 5,641,800,000 6,232,400,000 6,178,700,000 7,023,500,000 5,866,100,000 6,949,500,000 6,163,200,000 5,898,900,000 4,586,095 4,586,100,000 4,476,574 4,476,600,000 3,759,936 3,759,900,000 2,637,252 2,637,300,000 2,569,258 2,569,300,000 4,586,100,000 2,749,722 2,739,200,000 2,721,225 2,721,200,000 3,020,800,000 2,682,166 2,569,300,000 2,767,727 2,400,000,000 2,634,236 2,511,818 2,511,818 2,455,049 2,246,734 2,235,195 1,855,928 1,745,131 1,712,258 1,685,243 903,954 819,771    575,450 534,470 
        cash and cash equivalents
      1,491,200,000 1,565,600,000  1,377,900,000 1,565,400,000 1,033,100,000 1,315,700,000 1,185,400,000 2,062,800,000 2,088,600,000 1,041,400,000 3,506,200,000 1,946,400,000 2,268,500,000 1,515,051 1,515,100,000 1,865,043 1,865,000,000 1,242,853 1,242,900,000 537,538 537,500,000 509,102 509,100,000 1,515,100,000 637,541 637,500,000 581,631 581,600,000 727,600,000 588,530 509,100,000 799,790 511,800,000 473,817 354,566 354,566 476,622 324,353 415,279 615,847    164,212    745,000,000 66,753 69,273 
        other current financial assets
      903,300,000 667,200,000  1,079,600,000 996,700,000 1,109,800,000 964,800,000 1,585,900,000 590,700,000 766,100,000 1,325,800,000 306,000,000 675,900,000 1,032,200,000 919,049 919,000,000 754,274 754,300,000 709,453 709,500,000 303,761 303,800,000 348,069 348,100,000 919,000,000 415,289 415,300,000 493,579 493,600,000 677,700,000 505,490 348,100,000 417,815 353,900,000 667,226 670,602 670,602 460,173 316,103 375,704 77,655           
        accounts receivable
      715,400,000 718,000,000  634,800,000 690,100,000 747,000,000 950,400,000 1,082,700,000 1,047,700,000 1,692,900,000 950,400,000 1,132,100,000 1,435,600,000 1,084,500,000  740,200,000  563,700,000  507,700,000  505,500,000  427,800,000 740,200,000  438,900,000  389,300,000 426,100,000  427,800,000  480,800,000        309,765 279,808 370,915  191,625    169,840  
        inventory
      1,843,400,000 1,851,100,000  1,702,200,000 1,685,200,000 1,709,500,000 1,756,800,000 1,868,100,000 1,854,200,000 1,897,100,000 1,774,600,000 1,662,000,000 1,673,500,000 1,270,700,000  1,183,800,000  1,111,900,000  1,095,600,000  1,069,900,000  1,093,000,000 1,183,800,000  1,092,500,000  1,075,400,000 1,041,400,000  1,093,000,000  959,300,000                  
        others
      568,400,000 685,800,000  784,000,000 670,800,000 630,400,000 654,100,000 510,300,000 623,400,000 578,800,000 773,900,000 343,300,000 431,800,000 242,900,000  228,000,000  181,600,000  204,300,000  220,600,000  191,300,000 228,000,000  155,000,000  181,300,000 148,000,000  191,300,000  94,200,000               543,000,000   
        total non-current assets
      6,204,400,000 6,036,200,000  5,917,100,000 5,682,400,000 5,543,200,000 4,945,900,000 4,738,200,000 4,383,200,000 4,144,400,000 5,839,400,000 3,303,700,000 3,116,000,000 2,597,400,000 2,458,202 2,458,200,000 2,336,764 2,336,800,000 2,257,301 2,257,300,000 2,246,310 2,246,300,000 2,249,205 2,249,200,000 2,458,200,000 2,055,894 2,055,900,000 2,021,178 2,021,200,000 2,012,800,000 2,001,985 2,249,200,000 1,948,286 1,849,400,000 2,104,315 2,151,837 2,151,837 2,312,559 2,169,697 2,025,207 1,532,399           
        other non-current financial assets
      67,000,000 62,200,000  60,700,000 76,800,000 37,500,000 220,200,000 11,900,000 56,400,000 47,800,000 248,300,000 8,800,000 13,200,000 18,700,000 9,268 9,300,000 10,436 10,400,000 26,147 26,100,000 33,822 33,800,000 51,925 51,900,000 9,300,000 14,670 14,700,000 8,845 8,800,000 4,100,000 8,778 51,900,000 25,704 19,900,000 641 427 427 95 29,492 38,397 115           
        investments in related companies
      635,000,000 629,700,000  585,800,000 614,500,000 632,700,000 84,900,000 89,800,000 65,900,000 69,500,000 86,400,000 51,400,000 38,100,000 47,400,000  39,800,000  44,200,000  53,900,000  83,000,000  86,000,000 39,800,000  79,300,000  71,600,000 106,300,000  86,000,000  128,400,000        55,205 34,282 35,141 23,935 20,477    15,987 82,538 
        property, plant and equipment
      4,705,000,000 4,525,800,000  4,433,600,000 4,165,600,000 3,998,500,000 3,725,500,000 3,390,000,000 3,147,900,000 2,913,500,000 3,609,900,000 2,503,900,000 2,317,500,000 2,139,700,000  2,012,200,000  1,867,100,000  1,743,100,000  1,747,600,000  1,737,300,000 2,012,200,000  1,650,700,000 1,629,651 1,629,700,000 1,591,500,000 1,607,070 1,737,300,000 1,534,610 1,490,900,000 1,835,928 1,887,954 1,887,954 2,054,377 1,988,290 1,847,832 1,394,089 1,324,405 1,264,408 1,155,264  951,930 1,507,568,000 1,287,448  694,762 669,379 
        other non-current assets
      797,500,000 818,500,000  837,000,000 825,500,000 874,500,000 915,200,000 1,246,400,000 1,113,000,000 1,113,600,000 1,894,800,000 739,600,000 747,200,000 391,600,000  396,900,000  415,000,000  434,200,000  381,900,000  374,000,000 396,900,000  311,200,000  311,100,000 310,900,000  374,000,000  210,300,000                 51,836 
        total assets
      11,726,100,000 11,523,900,000  11,495,600,000 11,290,500,000 10,772,900,000 10,587,600,000 10,970,600,000 10,561,900,000 11,167,900,000 11,705,600,000 10,253,200,000 9,279,200,000 8,496,300,000 7,044,297 7,044,300,000 6,813,338 6,813,300,000 6,017,237 6,017,200,000 4,883,562 4,883,600,000 4,818,463 4,818,500,000 7,044,300,000 4,805,616 4,806,300,000 4,742,403 4,742,400,000 5,033,600,000 4,684,151 4,818,500,000 4,716,013 4,249,500,000 4,738,551 4,663,655 4,663,655 4,767,608 4,416,431 4,260,402 3,388,327 3,203,134 3,087,286 2,948,783 1,992,314 1,871,600 1,846,026,000 1,608,995 1,521,900 1,361,372 1,363,476 
        total current liabilities
      1,956,200,000 1,881,500,000  2,218,800,000 1,909,200,000 2,392,600,000 2,406,300,000 2,729,800,000 2,587,000,000 2,832,200,000 2,351,100,000 3,274,500,000 3,391,600,000 2,491,000,000 991,709 991,700,000 622,700 622,700,000 581,318 581,300,000 514,596 514,600,000 475,882 475,900,000 991,700,000 751,866 751,900,000 635,405 635,400,000 932,200,000 776,812 475,900,000 989,906 665,300,000 561,418  530,875 722,635 609,093 539,546 448,616 545,474 533,987 619,082 246,428 193,117    131,244 145,259 
        short-term debt
      886,900,000 903,900,000  1,163,500,000 1,025,000,000 1,515,400,000 1,493,200,000 1,145,000,000 881,100,000 537,100,000 1,256,500,000 424,100,000 437,000,000 56,200,000  51,300,000  45,000,000  42,100,000  47,200,000  69,000,000 51,300,000  215,200,000  216,000,000 460,000,000  69,000,000  158,800,000                  
        total long-term liabilities
      4,238,200,000 4,248,900,000  4,078,700,000 4,258,300,000 3,405,400,000 3,492,900,000 2,957,500,000 3,023,900,000 2,870,200,000 3,787,500,000 2,333,500,000 2,317,400,000 2,769,200,000  2,836,600,000  2,866,300,000  2,196,000,000  2,180,700,000  2,180,000,000 2,836,600,000  1,961,800,000  1,987,300,000 1,990,900,000  2,180,000,000  1,328,200,000        1,144,954 1,019,845 733,647 581,095 549,503    247,070 299,126 
        long-term debt
      3,762,600,000 3,775,000,000  3,600,600,000 3,784,400,000 2,946,200,000 2,940,300,000 2,476,000,000 2,508,700,000 2,417,600,000 3,213,400,000 2,195,500,000 2,173,500,000 2,567,400,000  2,587,700,000  2,589,100,000  1,898,500,000  1,887,900,000  1,899,500,000 2,587,700,000  1,708,800,000  1,715,400,000 1,712,300,000  1,899,500,000  1,063,600,000                  
        shareholders’ equity before minority interest
      5,491,600,000 5,353,900,000  5,160,800,000 5,084,400,000 4,936,900,000 4,651,400,000 5,245,700,000 4,914,300,000 5,429,500,000 5,530,700,000                                         
        minority interest
      40,300,000 39,700,000  37,200,000 38,600,000 38,000,000 37,000,000 37,600,000 36,800,000 36,000,000 36,200,000 36,600,000 35,300,000 34,000,000  34,500,000  38,800,000  38,000,000  39,800,000  39,500,000 34,500,000  44,400,000  44,400,000 44,600,000  39,500,000  61,000,000        46,093 43,721 46,276 45,999 39,208 38,599,000 34,508 344,000,000 34,430 29,119 
        total shareholders’ equity
      5,531,900,000 5,393,700,000  5,198,100,000 5,123,000,000 4,974,900,000 4,688,400,000 5,283,300,000 4,951,000,000 5,465,500,000 5,566,900,000                               1,466,613   1,118,792     948,628 889,972 
        total liabilities & shareholders’ equity
      11,726,200,000 11,524,000,000  11,495,600,000 11,290,500,000 10,772,900,000 10,587,600,000 10,970,600,000 10,561,900,000 11,167,900,000 11,705,600,000                                         
        liquidity
      2,800,000 2,900,000 2.88 2,500,000 2,900,000 2,200,000 2,300,000 2,300,000 2,400,000 2,500,000 2,500,000 2,100,000 1,800,000 2,400,000  4,600,000  7,200,000  6,500,000  5,100,000  5,400,000 4,600,000  3,700,000  4,300,000 3,200,000  5,400,000  3,600,000                  
        tax withholdings
        9,320                                                 
        other non-income taxes payable
        788                                                 
        vat payable
        28,357                                                 
        guarantees received
        1,021                                                 
        accrual for dividend
        46,919                                                 
        monthly provisional tax payables
        16,016                                                 
        deferred income
        16,129                                       16,536 30,780 24,261  23,570    441 384 
        withholdings from employees and salaries payable
        12,640                                                 
        accrued vacations
        33,279                                                 
        other current liabilities
        498                              145,629         3,220 2,646 2,320 855 682    1,206 730 
        total
        164,967                                                 
        capital management
                                                         
        net financial debt/cash
        2,300,562                                                 
        roe
        11.51                                                 
        adjusted ebitda
        359,624                                                 
        ebitda
        363,965                                                 
        roa
        12.65                                                 
        indebtedness
        0.43                                                 
        ​
                                                         
        accounts receivable + accounts receivable from related companies
                                                         
        current assets / current liabilities
                                                         
        sqm s.a. 1q2023 earnings release
                                                         
        shareholders' equity before minority interest
                 4,608,700,000 3,534,800,000 3,202,200,000  3,181,500,000  3,285,500,000  3,201,900,000  2,148,500,000  2,123,100,000 3,181,500,000  2,047,600,000  2,075,300,000 2,065,900,000  2,123,100,000  2,195,000,000                  
        total shareholders' equity
                 4,645,300,000 3,570,200,000 3,236,100,000  3,216,000,000  3,324,300,000  3,240,000,000  2,188,300,000  2,162,600,000 3,216,000,000  2,092,000,000  2,119,700,000 2,110,400,000  2,162,600,000  2,256,000,000         1,489,733 1,549,778  1,089,772      
        total liabilities & shareholders' equity
                 10,253,200,000 9,279,200,000 8,496,300,000  7,044,300,000  6,813,300,000  6,017,200,000  4,883,600,000  4,818,500,000 7,044,300,000  4,806,300,000  4,742,400,000 5,033,600,000  4,818,500,000  4,249,500,000                  
        current assets
                                                    849,958,000 743,692 6,627,000,000   
        other current non-financial assets
                    69,870  39,651  53,655  67,500  57,399   49,720  37,463   50,552  30,697  45,288 43,736 43,736 44,230 67,820 48,265            
        trade and other receivables, current
                    654,073  501,508  453,203  449,720  365,206   382,423  329,193   399,142  431,985  311,800 340,830 340,830 330,992 510,616 488,347 430,840           
        trade receivables due from related parties, current
                    86,152  62,196  54,538  55,735  62,601   56,481  60,100   61,227  62,068  113,596 134,506 134,506 128,026 101,372 109,779            
        current inventories
                    1,183,776  1,111,932  1,095,626  1,069,894  1,093,028   1,092,482  1,075,428   983,338  952,821  965,998 919,603 919,603 955,530 896,236 794,179            
        current tax assets
                    157,542  141,388  149,971  152,448  132,224   112,818  111,724   91,433  71,121  56,511 47,975 47,975 59,476 30,234 3,642 26,627           
        total current assets other than those classified as held for sale or disposal
                    4,585,513  4,475,992  3,759,299  2,636,596  2,567,629   2,746,754  2,689,118   2,679,712                     
        non-current assets or groups of assets classified as held for sale
                    582  582  637  656  1,629   2,968  32,107   2,454  1,430                   
        total non-current assets held for sale
                    582  582  637  656  1,629   2,968  32,107   2,454                     
        non-current assets
                                                         
        other non-current non-financial assets
                    33,487  46,960  76,339  22,310  22,042   18,801  19,179   19,729  15,341  34,999 32,171 32,171 36,505 17,682 27,957            
        non-current trade receivables,
                    6,172  6,316  11,425                                 
        investments classified using the equity method of accounting
                    39,824  44,211  53,880  82,996  85,993   79,340  71,561   109,435  114,344                   
        intangible assets other than goodwill
                    179,658  182,869  176,172  177,613  178,407   181,821  187,025   188,358  190,128  113,837 114,735 114,735 104,363 24,013 4,041 3,064           
        goodwill
                    34,596  34,596  41,966  41,966  41,966   34,596  34,596   34,726  34,856  38,388 38,388 38,388 38,388 38,388 38,605 38,388 29,725 30,269 31,356  35,216 40,249,000 29,103  17,470 13,587 
        property, plant and equipment net
                    2,012,225  1,867,123  1,743,091  1,747,617  1,737,319   1,650,693                          
        right-of-use assets
                    52,608  53,889  37,917  38,177  30,024   32,701  33,032                        
        non-current tax assets
                    90,364  90,364  90,364                                 
        liabilities and equity
                                                         
        current liabilities
                                                    241,210,000 464,852 3,448,000,000   
        other current financial liabilities
                    51,305  45,021  42,137  47,232  68,955   215,231  215,967   298,822  508,834  220,599  213,172 401,426 152,843 186,083 140,697           
        lease liabilities, current
                    7,704  7,533  7,770  7,349  5,528   6,574  6,632                        
        trade and other payables, current
                    279,650  260,142  227,289  193,627  203,933   174,908  193,450   205,790  211,462  137,832  145,160 150,960 207,944 180,686            
        trade payables due to related parties, current
                      342      606   1,516  1,425   475  164  195  231  19             
        other current provisions
                    317,666  164,244  116,436  101,393  104,166   161,465  85,592   110,565  96,860  30,076  27,747 17,953 18,489 16,430 13,535           
        current tax liabilities
                    166,935  42,750  12,302  24,605  22,643   17,077  20,661   17,874  19,182  37,209  36,171 31,707 23,624 38,663 8,386           
        provisions for employee benefits, current
                    26,775  19,709  10,181  6,490  9,096   8,674  14,334   16,387  7,775  7,101  18,384 25,236 33,974 21,838            
        other current non-financial liabilities
                    141,674  82,959  165,203  133,900  60,955   166,421  97,344   126,899    128,406  90,010 95,353 172,200 95,846            
        non-current liabilities
                                                         
        other non-current financial liabilities
                    2,587,732  2,589,065  1,898,493  1,887,878  1,899,513   1,708,751  1,715,416   1,518,926  1,335,937  1,570,588  1,574,225 1,417,390 1,446,194 1,367,093 1,154,703           
        non-current lease liabilities
                    46,519  47,560  31,448                                 
        non-current trade and other payables
                    3,813  11,644  11,767                                 
        other non-current provisions
                    61,038  58,228  58,449  54,085  62,617   35,031  34,882   34,690  35,549  8,890  8,890 8,633 7,357 6,814            
        deferred tax liabilities
                    110,416  133,020  167,304  171,927  156,101   155,460  172,373   183,411  180,644  228,026  223,349 154,295 125,445 103,194 79,557           
        non-current provisions for employee benefits
                    27,099  26,786  28,496                      27,372           
        total non-current liabilities
                    2,836,617  2,866,303  2,195,957  2,180,666  2,180,003   1,961,756  1,987,332   1,772,867  1,588,755  1,841,914  1,840,265 1,612,732 1,619,892 1,513,541 1,265,132           
        total liabilities
                    3,828,326  3,489,003  2,777,275  2,695,262  2,655,885   2,713,622  2,622,737   2,549,679  2,578,661  2,403,332  2,371,140 2,335,367 2,228,985 2,053,087 1,713,748    1,992,314    1,521,900   
        equity
                                                         
        equity attributable to owners of the parent
                    3,181,520  3,285,509  3,201,942  2,148,451  2,123,085   2,047,611  2,075,294   2,086,267  2,089,156  2,275,301  2,232,648 2,376,620 2,132,783 2,154,112            
        share capital
                    1,577,643  1,577,700  1,578,024  479,821  477,386   477,386  477,386   477,386  477,386  477,386  477,386 477,386 477,386 477,386            
        retained earnings
                    1,648,032  1,754,133  1,648,137  1,661,732  1,638,267   1,575,643  1,623,104   1,623,104  1,620,117  1,811,454  1,768,424 1,909,725 1,676,169 1,693,822 1,163,970 827,143 851,784 912,274 477,964 455,531    320,355 271,166 
        other reserves
                    -44,155    -24,219  6,898  7,432   -5,418  -25,196   -14,223  -8,347  -13,539  -13,162 -10,491 -20,772 -17,096 -14,178 162,084 160,563 160,118 163,442 156,855    150,887 141,420 
        non-controlling interests
                    34,451  38,826  38,020  39,849  39,493   44,383  44,372   48,205  48,196  59,918  59,867 55,621 54,663             
        total equity
                    3,215,971  3,324,335  3,239,962  2,188,300  2,162,578   2,091,994  2,119,666   2,134,472  2,137,352  2,335,219  2,292,515 2,432,241 2,187,446 2,207,315 1,674,579           
        total liabilities and equity
                    7,044,297  6,813,338  6,017,237  4,883,562  4,818,463   4,805,616  4,742,403   4,684,151  4,716,013  4,738,551  4,663,655 4,767,608 4,416,431 4,260,402 3,388,327           
        assets
                                                         
        trade receivables, non-current
                          11,445  11,165   11,093  5,110   1,710  1,124  1,250 2,044 2,044 1,282 1,311 1,335            
        tax assets, non-current
                          90,364  90,364   32,179  32,179   32,179  32,179                   
        lease liabilities, non-current
                          32,006  25,546   27,086  27,261                        
        trade and other payables, non-current
                          5,487  4,027   7,591  9,777                        
        provisions for employee benefits, non-current
                          29,283  32,199   27,837  27,623   35,840  36,625  34,410  33,801 32,414 40,896 36,440            
        currents assets
                                                         
        current assets other than those classified as held for sale or disposal
                                      2,766,297                   
        investments in associates
                                        51,374 49,723 49,723 51,075              
        investments in joint ventures
                                        27,433 26,055 26,055 25,943              
        deferred tax assets
                                        465 340 340 531 223 260 628           
        liabilities
                                                         
        investments in equity-accounted investees
                                            70,298 66,780            
        non-controlling interest
                                             53,203 47,401           
        other non-financial current assets
                                              25,393           
        trade and other receivables due from related parties, current
                                              40,027           
        inventories
                                              639,539 637,689 646,671 579,102 387,768 377,544   3,130,000,000 274,602 245,394 
        other non-financial assets, non-current
                                              28,935           
        non-current rights receivable
                                              3,873           
        trade and other receivables due from related parties, non-current
                                                         
        investments accounted for using the equity method
                                              61,926           
        investment property
                                              1,381           
        trade and other payables
                                              162,328           
        trade payables due to related parties. current
                                              4,332           
        current provision for employee benefits
                                              34,732           
        other non-financial liabilities. current
                                              84,606           
        other non-current accounts payable
                                                         
        other long-term provisions
                                              3,500           
        issued capital
                                              477,386           
        equity attributable to the owners of the controlling entity
                                              1,627,178           
        cash and cash equivalent
                                               530,394          
        time deposits
                                               15,043 270,742 441,699  4,393      
        other accounts receivable
                                               16,058 68,102 19,519  9,787    8,343 7,473 
        accounts receivable from related companies
                                               68,656 77,698 36,377  83,269    26,029 24,580 
        recoverable taxes
                                               68,903 64,168 36,701 31,322 20,556    19,185 20,198 
        prepaid expenses
                                               5,275 5,184 9,515 4,197 6,492    2,735 2,646 
        deferred income taxes
                                               5,377 33,969 48,370  2,730    7,933 2,362 
        other current assets
                                               87,971 51,530 15,583 24,720 13,347    7,963 13,947 
        other assets
                                                  35,618  72,019,000 76,947 935,000,000   
        negative goodwill
                                               -1,073 -1,074 -1,222  -1,928     -474 
        long-term accounts receivable
                                               4,209 1,417 1,048  109    289 7,093 
        long-term accounts receivable from related companies
                                                 2,000  2,118     340 
        intangible assets
                                               2,514 2,622 2,949 3,814 4,172    4,544 4,707 
        other long-term assets
                                               43,018 43,104 37,004  39,735    53,141  
        total other assets
                                               133,598 110,620 108,276 104,911 99,899    91,160 159,627 
        liabilities and shareholders’ equity
                                                         
        short-term bank debt
                                               70,368 99,784 162,501  1,923    7,955 57,392 
        current portion of the long-term bank debt
                                               151,158          
        promissory notes
                                               29,363          
        current portion of bonds payable
                                               16,243 14,957 14,465  8,227      
        dividends payable
                                               831 795 604 54,537 107    183 180 
        accounts payable
                                               182,958 156,597 120,590 99,030 108,499    57,859 48,429 
        other accounts payable
                                               350 364 332  371    2,054 1,509 
        notes and accounts payable to related companies
                                               3,892 765  6,880 1,574    14,025 12,587 
        accrued liabilities
                                               37,191 52,077 34,614  29,979    12,267 12,255 
        withholdings
                                               32,066 7,985 26,408  6,388    11,103  
        income taxes
                                               1,298 12,439 106,439 9,514 8,244    11,641 1,009 
        long-term liabilities
                                                    571,695,000 186,193 1,520,000,000   
        long-term bank debt
                                               365,000 275,000 160,000  180,000    200,000 260,000 
        bonds payable
                                               670,221          
        long-term accrued liabilities
                                               53,026 49,500 41,142        
        shareholders’ equity
                                                    994,522,000 923,442    
        paid-in capital
                                               477,386 477,386 477,386 477,386 477,386    477,386 477,386 
        total liabilities and shareholders’ equity
                                               3,203,134     1,846,026,000 1,608,995  1,361,372 1,363,476 
        cash
                                                22,071 27,313  16,043      
        marketable securities
                                                192,315 100,149  96,715      
        liabilities and shareholders' equity
                                                         
        current portion of long-term debt
                                                100,917 101,421  823     4,596 
        obligations with the public
                                                53,881 25,127 8,868       
        long-term obligations with the public
                                                634,544 471,461 306,651 298,093      
        shareholders' equity
                                                      9,907,000,000   
        total liabilities and shareholders' equity
                                                3,087,286 2,948,783  1,871,600      
        trade accounts receivable
                                                  164,470       
        notes receivable
                                                  59,974       
        miscellaneous receivables
                                                  6,249       
        notes and accounts receivable from related companies
                                                  61,042       
        total property, plant and equipment
                                                  983,449       
        land
                                                  112,813       
        buildings and infrastructure
                                                  841,827       
        machinery and equipment
                                                  731,153       
        other property, plant and equipment
                                                  50,029       
        negative goodwill from technical appraisal of property, plant and equipment
                                                  61,379       
        depreciation
                                                  -813,752       
        goodwill from investments
                                                  38,940       
        negative goodwill from investments
                                                         
        long-term receivables
                                                  604       
        long-term notes and accounts receivable from related companies
                                                  2,000       
        obligations with banks and financial institutions
                                                  2,607       
        miscellaneous payables
                                                  1,820       
        provisions and withholdings
                                                  45,245       
        prepaid income
                                                  10,858       
        deferred taxes
                                                  6,214       
        long-term obligations with banks and financial institutions
                                                  180,000       
        long-term miscellaneous receivables
                                                  731       
        long-term provisions
                                                  22,671       
        long-term deferred taxes
                                                  71,042       
        capital revaluation reserve
                                                         
        premium on sale of company stock
                                                         
        future dividend reserve
                                                         
        accumulated losses
                                                         
        net income
                                                         
        interim dividends
                                                         
        accumulated deficit from development period
                                                         
        staff severance indemnities
                                                   19,760    11,875 10,127 
        accumulated depreciation
                                                    -623,768,000 -528,195    
        property plant and equipment
                                                    883,800,000 759,253    
        account receivables
                                                      2,209,000,000   
        fixed assets
                                                      7,657,000,000   
        investment in related companies
                                                      377,000,000   
        short term interest bearing debt
                                                      2,009,000,000   
        long term interest bearing debt
                                                      1,000,000,000   
        current ratio
                                                      19,000,000   
        net debt / total capitalization
                                                      181,000,000   
        current portion of long-term bank debt
                                                       4,577  
        commitments and contingencies
                                                         
        accounts and notes receivable
                                                        150,959 
        payroll withholdings
                                                        3,826 
      Cashflow Statements:
      Quarterly
      Annual
        Unit: USD2025-03-31 2022-03-04 2021-11-30 2021-08-31 2021-06-01 2021-03-05 2020-12-03 2020-09-10 2020-03-23 2015-04-06 2011-01-10 2009-12-31 2009-10-27 2009-08-11 2009-03-31 2008-09-30 2008-06-30 2008-03-31 
                          
          cash flows generated from (used in) operating activities
                          
          classes of cash receipts generated from operating activities
                          
          cash receipts from sales of goods and rendering of services
        1,101,004 2,705,250 1,764,488 1,101,159 490,959 1,940,720 1,420,358 957,104 2,044,746 1,944,072         
          cash receipts from premiums and benefits, annuities and other benefits from policies entered
         1,902 2,377 1,357 689 14,763 13,339 1,051 2,925          
          cash receipts derived from sub-leases
         443 1,524 104 57 188             
          classes of payments
                          
          cash payments to suppliers for the provision of goods and services
        -892,547 -1,713,922 -1,230,477 -794,335 -419,961 -1,358,347 -1,039,949 -781,212 -1,284,204 -1,179,413         
          cash payments relating to variable leases
        -856 -1,313 -777 -380 -146 -1,117             
          other payments related to operating activities
        -18,456 -16,726 -13,239 -9,814 -4,319 -87,278 -19,110 -15,056 -25,218 -9,770         
          net cash generated from operating activities
        189,145 975,634 523,896 298,091 67,279 347,067 250,856 161,414 541,791          
          dividends received
        1,073 11,663 1,814 1,403  5,387 4,849 4,310 14,449 11,817         
          interest paid
        -70,387 -82,816 -64,298 -41,576 -23,092 -81,567 -63,914 -36,466 -70,963 -83,592 -7,160        
          interest paid on lease liabilities
        -767 -1,587 -1,110 -720 1,143 -1,133             
          interest received
        31,207 2,747 2,967 2,375 -353 17,046 13,957 12,043 25,809 16,142         
          income taxes paid
        -55,352 -142,730 -99,015 -71,587 -27,353 -200,624 -106,746 -80,601 -173,319          
          other cash inflows
        120,976 59,609 54,595 43,916 16,508 96,058 81,495    -6,753        
          cash flows generated from (used in) investing activities
                          
          purchase of ownership interest in associates and joint ventures
        30                  
          cash flows from purchase of interests in associates
                          
          acquisition of equity instruments
        -95                  
          acquisition of subsidiaries
                          
          proceeds from the sale of property, plant and equipment
         672 79 49  1,680 2,129 25 487 156 1,333        
          payment of loans from related entities
        -1,075                  
          acquisition of property, plant and equipment
        -177,775 -464,718 -284,642 -167,099 -66,711 -322,242 -226,708 -156,931 -321,324 -112,143         
          proceeds from sales of intangible assets
        45 14,773 12,309 12,147 2,025 8,203 7,006 3,925 28,126 15,431         
          proceeds related to futures, forward options and swap contracts
        345 2,328 199 -578 3,343 -6,902             
          loans to related parties
        -7,752 13,086 15,000 15,000 15,000 -15,000 -10,500            
          purchase of other long-term assets
        -1,284 -8,071 -5,689                
          cash flow used in from investing activities
        181,114                  
          consolidated interim statements of cash flows
                          
          cash flows generated from (used in) financing activities
                          
          payments of lease liabilities
        -6,653                  
          proceeds from long-term loans
        164,000 700,000 700,000    400,000 400,000           
          receipts from short-term loans
        185,000                  
          loan repayments
        -456,905                  
          proceeds from hedges associated to loans
        -151                  
          dividends paid
        -4,075      -115,793 -116,121   -64,882        
          net cash flows generated from (used in) financing activities
        -118,784                  
          net increase in cash and cash equivalents before the effect of changes in the exchange rate
        278,225 1,022,062 1,370,668 741,775 31,618  45,991 -6,041           
          effects of exchange rate fluctuations on cash and cash equivalents
        13 -16,113 -14,727 -8,024 -3,182  3,020 -858           
          increase in cash and cash equivalents
        278,238 1,005,949 1,355,941 733,751 28,436              
          cash and cash equivalents at beginning
        1,377,851                  
          cash and cash equivalents at end
        1,656,089                  
          net cash generated (used in) from operating activities
                          
          (payments) proceeds related to futures, forward options and swap contracts
                          
          net decrease in cash and cash equivalents before the effect of changes in the exchange rate
                          
          decrease in cash and cash equivalents
                          
          adquisition of property, plant and equipment
                          
          other cash outflows
                          
          cash flow generated (used in) from investing activities
                          
          proceeds (payments) from hedges associated to loans
                          
          other cash (outflows) inflows
         -594,511 -427,458 -380,440               
          proceeds from the sale of equity instruments
         16,413 16,413 10,123 10,123              
          acquisition of non-current financial assets
                          
          proceeds from sale of intangible assets
                          
          proceeds from the sale of ownership interest in joint ventures
                          
          purchases of other long-term assets
                          
          cash flow used in investing activities
         -1,006,943 -660,704 -502,459               
          consolidated statements of cash flows
         2,021                 
          repayment of lease liabilities
         -7,960 -6,254 -3,967 -1,935  -6,041 -3,467           
          proceeds from short-term loans
                          
          capital stock increase
         1,100,257 1,100,314 1,100,639               
          net cash flow (used in) generated from financing activities
                          
          cash and cash equivalents at beginning of year
                          
          cash and cash equivalents at end of year
                          
          revenue
                          
          cost of sales
                          
          gross profit
                          
          other income
                          
          administrative expenses
                          
          other incomes
                 -221,561         
          (impairment) reversal of value of financial assets impairment losses
                          
          other gains
                          
          profit from operating activities
                          
          finance income
                          
          finance costs
                          
          share of profit from associates and joint ventures accounted for using the equity method
                          
          foreign currency translation differences
                          
          profit before taxes
                          
          income tax expense
                          
          net profit
                          
          profit attributable to:
                          
          profit attributable to owners of the parent
                          
          profit attributable to non-controlling interests
                          
          earnings per share
                          
          common shares
                          
          basic earnings per share
                          
          diluted common shares
                          
          diluted earnings per share
                          
          net cash (used in) generated from operating activities
                          
          proceeds from the purchase of ownership in associates
                          
          proceeds (payments) related to futures, forward options and swap contracts
                          
          repayment of borrowings
           -7,055 -7,055  -264,122 -257,506           
          net cash flows used in financing activities
                          
          cash and cash equivalents at beginning of period
         509,102 509,102 509,102 509,102  588,530 588,530           
          cash and cash equivalents at end of period
         1,515,051 1,865,043 1,242,853 537,538  637,541 581,631 11          
          classes of cash receipts from operating activities
                          
          proceeds from the purchase of shares in associates
                          
          acquisition of other long-term assets
                          
          notes to the consolidated interim financial statements december 31, 2022
                          
          payments to obtain control of subsidiaries and other businesses
                          
          cash flows proceeds from the sale of interests in joint ventures
         13,085 13,085 8,339               
          cash flows from (used in) operating activities
                          
          cash flows from (used in) investing activities
                          
          notes to the consolidated interim financial statements september 30, 2022
                          
          payment of borrowings
         -14,110 -14,110                
          net cash generated from financing activities
         1,206,485 1,612,523 1,012,332   14,044 22,906           
          cash flows from operating activities
                          
          cash flows from investing activities
                          
          cash flows arising from the loss/gain of control of subsidiaries and other businesses
             20,996             
          other payments to acquire interest in joint ventures
             -16,949 -11,035 -562   -3,500        
          proceeds from the sale of joint ventures
              12,140            
          purchases of intangible assets
             -579 -246 -287 -2,492          
          cash flows generated from financing activities
                          
          paid dividends
         -571,702 -167,427                
          paidd dividends
           -77,285               
          cash flows proceeds from the sale of non-controlling interests
            8,340              
          cash flow from investing activities
            4,041              
          capital increase
            2,435              
          net cash generated (used in) from financing activities
            -6,555              
          cash payments to and on behalf of employees
             -161,862 -123,057  -195,782 -42,218         
          net cash generated used in investing activities
             -167,091             
          notes to the consolidated financial statements december 31, 2021
                          
          classes of revenue from operating activities
                          
          charges derived from sub-leases
              157            
          payment for variable leases
              -882 -578           
          cash flows arising from the loss of control of subsidiaries and other businesses
              27 1,148 994          
          payments related to futures, forward options and swap contracts
              -3,469 -243           
          net cash generated from investing activities
              -148,550 -155,933 -485,471          
          net increase in cash and cash equivalents
              49,011 -6,899   85,453        
          proceeds from leases and subsequent sale of assets
               105 361          
          interest paid on lease liability
               -572           
          other incomes (outflows) of cash
               66,858 90,741 10,816         
          proceeds from related parties
               -3,500           
          other inflows (outflows) of cash
               492           
          classes of paymentes
                          
          net cash generated from (used in) operating activities
                 591,044         
          payments made to acquire interest in joint ventures
                -2,600          
          net cash generated from (used in) investing activities
                 -311,364         
          notes to the consolidated interim financial statement march 31, 2020
                          
          variable payments relating to identified leases as required by ifrs 16
                -1,037          
          interest paid on leases liabilities
                -1,537          
          cash flows generated from investing activities
                          
          proceeds payments related to futures, forward options and swap contracts
                1,403          
          other (outflows) income of
                -190,065          
          proceeds from long-term borrowings
                          
          proceeds from short-term borrowings
                          
          effects of exchange rate fluctuations on cash held
                          
          5
                          
          notes to the consolidated financial statement december 31, 2019
                          
          types of receipts from operating activities
                          
          types of payments
                          
          reimbursed (paid) income taxes
                 -76,810         
          cash receipts from the loss of control of subsidiaries and other businesses
                 5,000         
          other cash payments made to acquire interest in joint ventures
                 4,223         
          acquisition of intangible assets
                          
          cash advances and loans granted to third parties
                 -2,470 983        
          cash flows from financing activities
                          
          total proceeds from borrowings
                          
          other cash receipts
                          
          net cash generated from (used in) financing activities
                          
          income from non-attendance capital increase
                          
          sqm s.a. los militares 4290 las condes, santiago, chile tel: (56 2) 2425 2000 www.sqm.com
                          
          net cash from:
                          
          net cash from operating activities
                       170,334 33,472 55,906 
          capital expenditures
                       -80,239 
          free cash flows
                       90,095 33,472 55,906 
          net cash from financing activities
                   -29,454 41,294 -64,491 255,142 -50,536   
          net cash from investing activities
                   -104,985 -116,790 -96,464 -54,721 -59,748   
          statement of comprehensive income
                          
          profit (loss) for the period
                  279,441        
          other comprehensive income components before foreign currency translation difference
                          
          gains (losses) from foreign currency translation differences. before tax
                  588        
          other comprehensive income before taxes and foreign currency translation differences
                  588        
          cash flow hedges
                          
          gains (losses) from cash flow hedges before tax
                  -5,683        
          other comprehensive income before tax and cash flow hedges
                  -5,683        
          other comprehensive income components. net of tax
                  -5,095        
          income tax related to components of other comprehensive income
                          
          income tax related to other comprehensive income cash flow hedges
                  966        
          addition of income tax related to other comprehensive income components
                  966        
          other comprehensive income
                  -4,129        
          total comprehensive income
                  275,312        
          comprehensive income attributable to
                          
          comprehensive income attributable to the parent’s owners
                  271,953        
          comprehensive income attributable to non-controlling interest
                  3,359        
          statement of cash flows
                         
          profit
                  279,441        
          adjustment due to reconciliation of profit
                          
          adjustment for decreases (increases) in inventories
                  -5,926        
          adjustment for decreases (increases) in trade receivables
                  -48,459        
          adjustment for decreases (increases) in other receivables from operating activities
                  2,841        
          adjustment for decreases (increases) in trade payables
                  -63,772        
          adjustment for decreases (increases) in other payables related to operating activities
                  -21,413        
          adjustment for depreciation and amortization
                  103,293        
          adjustment for provisions
                  6,705        
          adjustments for unrealized gains in foreign translation
                  6,875        
          adjustment for undistributed gains from equity-accounted associates
                  -8,299        
          other adjustments for entries other than cash
                  155,304        
          other adjustments for which the effects on cash are cash flows from investing or financial activities
                  -430        
          total gains reconciling adjustments
                  126,719        
          net cash flows from operating activities
                  399,000        
          purchases of property, plant and equipment
                  -235,552        
          proceeds from future. forward. option and swap financial contracts
                  15,043        
          net cash flows from investing activities
                  -221,693        
          amounts received from the issuance of other equity instruments
                  250,000        
          amounts received from long-term loans
                  224,000        
          amounts received from short-term loans
                          
          total amounts received from loans
                  224,000        
          payments of loans
                  -528,040        
          net cash flows from financing activities
                  -125,675        
          net increase in cash and cash equivalents before the effect of changes in exchange rates
                  51,632        
          effects of variation in exchange rate on cash and cash equivalents
                  33,821        
          cash and cash equivalents at beginning of the period
                  530,394        
          cash and cash equivalents at the end of the period
                  615,847        
          net income for the year
                     83,122 86,273    
          charges (credits) to income not representing cash flows:
                          
          depreciation expense
                   39,293 38,915 38,614 34,899 32,781 25,533 25,221 
          amortization of intangible assets
                   159 161 168 164 178 178 172 
          write-offs and accruals
                   4,003 -10,467 38,075 10,425 -169 12,436 6,823 
          gain on equity investments in related companies
                   -3,155 -309 -1,621 -632 -3,831   
          loss on equity investments in related companies
                   406 119 725 -1 -16 50 
          amortization of goodwill
                   544 544 544 544 556 555 558 
          gain on sale of property, plant and equipment
                          
          gain on sale of investments
                          
          other credits to income not representing cash flows
                   -8,731 -1,327 11,355 -13,566 5,299   
          other charges to income not representing cash flows
                   41,391 37,161 53,065 23,958 73,517 62,179 36,994 
          foreign exchange difference
                   -952 2,258 556 5,714    
          net changes in perating assets and liabilities increase:
                          
          trade accounts receivable
                   14,209 4,274 54,050 -49,213 -116,491   
          inventories
                   -2,338 -15,305 -57,908 -44,314 -44,070   
          other assets
                   30,273 -50,144 -12,149 -1,089 -6,637   
          accounts payable
                   16,787 7,632 -20,675 -3,309 57,574   
          interest payable
                   -22,802 23,337 3,724 7,175 1,133 -5,645 5,502 
          net income taxes payable
                   -14,983 -24,582 -151,804 16,917 -21,589   
          other accounts payable
                   7,146 -2,374      
          vat and taxes payable
                   6,518 -7,315 16,032 -5,591 -956   
          minority interest
                   2,092 892 -663 -987 37 2,891 4,558 
          net cash provided from operating activities
                   185,187 85,769 32,305 68,093    
          proceeds from short term bank financing
                   140,718   124,500    
          proceeds from issuance of bonds
                          
          payment of dividends
                   -101,671 -15 -243,887 -74 -535   
          repayment of bank financing
                   -30,333 -30,000 -65,000 -65,000    
          payment of bonds payable
                          
          payment of bond issuance and placement expenses
                          
          other financing disbursements
                          
          sales of property, plant and equipment
                   81 12   23,830 393 1,159 
          sales of investments in related companies
                          
          sales of other investments
                          
          other investing income
                   49 2,066 -20,066 20,121   220 
          additions to property, plant and equipment
                   -99,933 -113,440 -72,977 -70,657 -80,239   
          capitalized interest
                   -6,142 -5,582 -4,575 -2,932 -3,141   
          investments in related companies
                          
          time deposits
                          
          other disbursements
                   -538 154 -563 -1,253 -198   
          effect of inflation on cash and cash equivalents
                   11,095 -1,641 19,408 -3,152 5,012   
          net change in cash and cash equivalents
                   61,843 8,632 -109,242 265,362 65,062 -71,694 3,431 
          beginning balance of cash and cash equivalents
                   -20,121 20,121 303,799 164,212 
          ending balance of cash and cash equivalents
                   41,722 8,632 -89,121 569,161 65,062 -71,693 167,643 
          net income
                       190,575 125,712 64,784 
          charges (credits) to income not representing cash flows
                          
          (profit) loss on sales of assets
                    -3   -2,231   
          los from sale of investments
                          
          net changes in operating assets and liabilities increase:
                          
          bonds payable
                    173,282 199,065    
          payment of obligations with the public
                        
          payment of expenses for the issuance and placement of bonds payable
                    -1,098 -3,349    
          sales of permanent investments
                          
          proceeds from bank financing
                          
          income from sale of investments
                         
          foreign currency translation
                         2,222 
          proceeds from short-term bank financing
                          
          other investment income
                          
          amortization of negative goodwill
                          
          purchase of investments in related companies
                          
          (gain) loss on sales of assets
                          
          loss on sale of investments
                          
          purchase of permanent investments
                          
          equity participation in net income of unconsolidated investees
                          
          equity participation in net incomees of unconsolidated investees inininvesteesinves
                          
          gains on sale of investment
                          
          foreign currency exchange and price-level restatement
                          
          net changes in operating assets and liabilities:
                          
          accounts receivable
                          
          payments of dividends
                          
          sales other investments
                          
          purchase of permanent investments, net of cash acquired of thus 24,311, 836 and 242 respectively
                          
          investments in financial instruments
                          
          increase in trade accounts receivable
                          
          increase in inventories
                          
          decrease in other assets
                          
          increase in accounts payable
                          
          increase in interest payable
                          
          decrease in net income taxes payable
                          
          increase in other accounts payable
                          
          decrease in vat and taxes payable
                          
          sales of investments
                          
          payment relation chip enter praise
                          
          (gains) losses on sales of assets
                          
          gain on sale of investment
                          
          oth er credits to income not representing cash flows
                          
          increase in other assets
                          
          increase in net income taxes payable
                          
          increase in vat and taxes payable
                          
          loans to related companies
                          
          purchase of investments in related companies, net of cash acquired
                          
          purchase of investments
                          
          supplemental cash flow information:
                          
          capital lease obligations incurred during the year
                          
          income from sales of investments
                          
          sale of permanent investments
                          
          gain on investments in related companies
                          
          loss on investments in related companies
                          
          foreign exchange differences
                          
          repayment of loans
                          
          repayment of bonds payable
                          
          net cash from (provided from) financing activities
                          
          loss on sales of assets
                          
          share issuance
                          
          net cash provided from (used in) financing activities
                          
          loss on sale of fixed assets
                          
          accrued equity gain on investments in related companies
                          
          accrued equity loss on investments in related companies
                          
          translation adjustment
                          
          exchange difference
                          
          net changes in operating assets and liabilities
                          
          gain from minority interest
                          
          bank debt
                          
          payment of loans
                          
          sales of fixed assets
                          
          payment of capitalized interest
                          
          permanent investments
                          
          net cash flows for the period
                          
          impact of inflation on cash and cash equivalents
                          
          interest and income taxes paid in 2002 and 2001 are as follows:
                          
          taxes paid