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SQM Sociedad Quimica Y Minera De Chile

Watchlist
  • 41.390
  • -0.860-2.04%
Close Jul 5 16:00 ET
  • 42.000
  • +0.610+1.47%
Post 19:13 ET
11.82BMarket Cap30.06P/E (TTM)

Sociedad Quimica Y Minera De Chile Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-20.45%2.25B
-34.59%2.36B
-34.59%2.36B
-28.57%2.69B
1.85%2.63B
-13.95%2.83B
48.97%3.61B
48.97%3.61B
44.10%3.76B
32.47%2.58B
-Cash and cash equivalents
-37.00%1.32B
-60.78%1.04B
-60.78%1.04B
-66.19%1.19B
5.98%2.06B
-7.93%2.09B
75.26%2.66B
75.26%2.66B
88.00%3.51B
56.61%1.95B
-Short-term investments
25.89%939.06M
38.59%1.32B
38.59%1.32B
485.57%1.5B
-10.86%562.61M
-27.26%745.94M
4.97%950.17M
4.97%950.17M
-65.62%256.55M
-10.20%631.17M
-Accounts receivable
-46.73%794.4M
-21.73%784.42M
-21.73%784.42M
-4.05%905.01M
-30.22%866.23M
62.65%1.49B
69.78%1B
69.78%1B
114.21%943.23M
209.47%1.24B
-Taxes receivable
12.08%609.82M
95.96%751.97M
95.96%751.97M
51.71%487.71M
45.14%605.6M
152.73%544.09M
87.81%383.73M
87.81%383.73M
86.41%321.48M
113.75%417.26M
-Other receivables
-66.20%32.32M
-37.50%61.42M
-37.50%61.42M
-45.55%63.63M
-30.74%86.2M
-12.07%95.64M
-2.46%98.27M
-2.46%98.27M
55.68%116.86M
79.10%124.46M
Inventory
-7.40%1.76B
-0.54%1.77B
-0.54%1.77B
12.40%1.87B
10.80%1.85B
49.29%1.9B
50.73%1.78B
50.73%1.78B
49.47%1.66B
52.74%1.67B
Prepaid assets
25.02%136.72M
25.61%94.16M
25.61%94.16M
28.21%93.97M
-2.21%81.55M
27.99%109.36M
4.83%74.96M
4.83%74.96M
31.35%73.29M
86.75%83.4M
Restricted cash
-2.47%29.13M
0.42%29.97M
0.42%29.97M
55.48%29.8M
--29.91M
--29.87M
--29.84M
--29.84M
--19.17M
----
Other current assets
66.89%1.95M
80.76%2.29M
80.76%2.29M
-7.76%904K
65.13%1.18M
15.97%1.17M
68.17%1.27M
68.17%1.27M
-10.09%980K
-17.74%714K
Total current assets
-19.67%5.64B
-16.10%5.87B
-16.10%5.87B
-10.32%6.23B
0.25%6.18B
19.06%7.02B
52.45%6.99B
52.45%6.99B
55.24%6.95B
63.92%6.16B
Non current assets
Net PPE
26.20%3.93B
30.37%3.82B
30.37%3.82B
32.95%3.6B
32.78%3.35B
42.20%3.11B
32.25%2.93B
32.25%2.93B
30.59%2.71B
30.63%2.52B
-Gross PPE
160.31%8.11B
17.74%7.91B
17.74%7.91B
17.99%7.59B
17.53%7.27B
-46.15%3.11B
16.44%6.72B
16.44%6.72B
15.39%6.43B
14.78%6.19B
-Accumulated depreciation
---4.18B
-7.99%-4.1B
-7.99%-4.1B
-7.12%-3.99B
-7.03%-3.92B
----
-6.60%-3.79B
-6.60%-3.79B
-6.39%-3.72B
-5.94%-3.66B
Goodwill and other intangible assets
-19.85%20.8M
-17.11%21.91M
-17.11%21.91M
-14.07%23.3M
-45.61%24.54M
-87.70%25.95M
-59.16%26.43M
-59.16%26.43M
-59.19%27.11M
-34.16%45.12M
-Goodwill
-0.93%958K
-0.93%958K
-0.93%958K
-0.93%958K
-94.57%958K
-97.20%967K
-97.20%967K
-97.20%967K
-97.20%967K
-57.92%17.66M
-Other intangible assets
-20.58%19.84M
-17.72%20.95M
-17.72%20.95M
-14.56%22.34M
-14.12%23.59M
-85.84%24.99M
-15.48%25.46M
-15.48%25.46M
-17.87%26.14M
3.38%27.46M
Financial assets
-96.81%1.27M
-29.25%15.99M
-29.25%15.99M
--4.62M
--47.12M
677.79%39.92M
9,126.94%22.61M
9,126.94%22.61M
--0
--0
Other non current assets
30.65%65.88M
25.13%64.67M
25.13%64.67M
40.01%52.59M
53.61%53.3M
52.66%50.42M
57.25%51.68M
57.25%51.68M
-18.96%37.56M
-54.13%34.7M
Total non current assets
19.34%4.95B
52.56%5.84B
52.56%5.84B
43.42%4.74B
40.67%4.38B
59.56%4.14B
47.55%3.83B
47.55%3.83B
41.38%3.3B
38.04%3.12B
Total assets
-5.20%10.59B
8.19%11.71B
8.19%11.71B
7.00%10.97B
13.82%10.56B
31.44%11.17B
50.68%10.82B
50.68%10.82B
50.49%10.25B
54.21%9.28B
Liabilities
Current liabilities
Payables
-56.92%436.66M
-28.62%586.26M
-28.62%586.26M
-53.47%745.66M
-44.27%793.98M
-41.93%1.01B
53.80%821.33M
53.80%821.33M
395.49%1.6B
310.46%1.42B
-accounts payable
-3.74%321.5M
23.16%441.78M
23.16%441.78M
-44.54%358.21M
-18.19%312.73M
0.11%333.98M
28.53%358.71M
28.53%358.71M
148.78%645.86M
68.64%382.26M
-Total tax payable
-91.14%39.38M
-83.97%72.76M
-83.97%72.76M
-84.76%64.39M
-84.83%77.4M
-23.27%444.46M
106.11%453.81M
106.11%453.81M
626.99%422.38M
1,801.13%510.21M
-Dividends payable
-70.45%68.89M
687.72%69.38M
687.72%69.38M
-39.40%323.07M
-66.78%176.52M
-71.97%233.13M
-74.23%8.81M
-74.23%8.81M
10,920.09%533.15M
471.70%531.44M
-Other payable
246.01%6.9M
--2.35M
--2.35M
----
31,341.77%227.32M
219.90%1.99M
----
----
30.20%1.13M
18.72%723K
Current provisions
-67.52%353.91M
-69.89%392.32M
-69.89%392.32M
-34.63%686.44M
-39.89%775.92M
79.74%1.09B
310.23%1.3B
310.23%1.3B
539.33%1.05B
1,008.63%1.29B
Current debt and capital lease obligation
194.49%1.5B
152.67%1.23B
152.67%1.23B
178.41%1.15B
110.09%882.98M
1,079.59%509.89M
905.68%486.58M
905.68%486.58M
910.84%413.72M
850.56%420.29M
-Current debt
198.39%1.48B
155.31%1.21B
155.31%1.21B
181.05%1.13B
111.70%868.61M
1,291.98%497.26M
1,066.27%474.43M
1,066.27%474.43M
1,109.10%403.78M
1,025.80%410.3M
-Current capital lease obligation
40.98%17.81M
49.74%18.19M
49.74%18.19M
71.36%17.03M
43.84%14.37M
68.33%12.63M
57.70%12.15M
57.70%12.15M
31.94%9.94M
28.58%9.99M
Other current liabilities
-3.88%47.8M
-90.38%28.18M
-90.38%28.18M
-46.07%54.74M
-63.30%56.94M
164.30%49.73M
1,063.60%292.93M
1,063.60%292.93M
619.65%101.5M
1,369.45%155.16M
Current liabilities
-15.04%2.41B
-22.95%2.35B
-22.95%2.35B
-16.63%2.73B
-23.64%2.59B
13.70%2.83B
207.71%3.05B
207.71%3.05B
425.85%3.27B
482.79%3.39B
Non current liabilities
Long term provisions
-2.25%56.84M
4.13%60.45M
4.13%60.45M
-5.55%54.79M
-4.35%62.03M
-9.91%58.15M
-4.89%58.05M
-4.89%58.05M
-0.37%58.01M
10.96%64.85M
Long term debt and capital lease obligation
20.14%2.96B
34.57%3.26B
34.57%3.26B
15.52%2.51B
17.27%2.55B
-4.82%2.47B
-5.36%2.42B
-5.36%2.42B
-15.40%2.17B
13.99%2.18B
-Long term debt
20.48%2.91B
34.98%3.21B
34.98%3.21B
15.51%2.45B
17.69%2.5B
-5.10%2.42B
-5.58%2.37B
-5.58%2.37B
-15.69%2.12B
13.24%2.13B
-Long term capital lease obligation
3.64%51.98M
14.89%56.97M
14.89%56.97M
15.63%55.11M
-0.39%49.82M
10.67%50.16M
6.59%49.59M
6.59%49.59M
0.21%47.66M
59.03%50.01M
Derivative product liabilities
1,103.86%30.59M
-57.42%8.42M
-57.42%8.42M
-68.20%22.85M
-90.20%4.48M
-88.73%2.54M
-72.88%19.77M
-72.88%19.77M
2.46%71.86M
135.85%45.68M
Total non current liabilities
21.70%3.49B
33.57%3.79B
33.57%3.79B
26.74%2.96B
30.27%3.02B
3.65%2.87B
-4.61%2.84B
-4.61%2.84B
-18.59%2.33B
5.70%2.32B
Total liabilities
3.45%5.9B
4.27%6.14B
4.27%6.14B
1.41%5.69B
-1.72%5.61B
8.41%5.7B
48.51%5.89B
48.51%5.89B
60.73%5.61B
105.56%5.71B
Shareholders'equity
Share capital
-0.00%1.58B
0.00%1.58B
0.00%1.58B
0.00%1.58B
0.00%1.58B
0.00%1.58B
0.00%1.58B
0.00%1.58B
-0.00%1.58B
-0.02%1.58B
-common stock
-0.00%1.58B
0.00%1.58B
0.00%1.58B
0.00%1.58B
0.00%1.58B
0.00%1.58B
0.00%1.58B
0.00%1.58B
-0.00%1.58B
-0.02%1.58B
Retained earnings
-23.39%2.97B
14.57%3.84B
14.57%3.84B
20.04%3.7B
69.79%3.36B
135.13%3.88B
103.28%3.35B
103.28%3.35B
75.53%3.08B
20.08%1.98B
Total stockholders'equity
-14.33%4.65B
12.95%5.53B
12.95%5.53B
13.82%5.25B
39.02%4.91B
69.56%5.43B
53.91%4.9B
53.91%4.9B
40.27%4.61B
10.40%3.53B
Noncontrolling interests
2.68%37M
2.43%36.23M
2.43%36.23M
2.72%37.57M
4.01%36.75M
6.09%36.04M
2.66%35.37M
2.66%35.37M
-5.80%36.57M
-7.06%35.34M
Total equity
-14.22%4.69B
12.87%5.57B
12.87%5.57B
13.74%5.28B
38.68%4.95B
68.89%5.47B
53.36%4.93B
53.36%4.93B
39.73%4.65B
10.19%3.57B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -20.45%2.25B-34.59%2.36B-34.59%2.36B-28.57%2.69B1.85%2.63B-13.95%2.83B48.97%3.61B48.97%3.61B44.10%3.76B32.47%2.58B
-Cash and cash equivalents -37.00%1.32B-60.78%1.04B-60.78%1.04B-66.19%1.19B5.98%2.06B-7.93%2.09B75.26%2.66B75.26%2.66B88.00%3.51B56.61%1.95B
-Short-term investments 25.89%939.06M38.59%1.32B38.59%1.32B485.57%1.5B-10.86%562.61M-27.26%745.94M4.97%950.17M4.97%950.17M-65.62%256.55M-10.20%631.17M
-Accounts receivable -46.73%794.4M-21.73%784.42M-21.73%784.42M-4.05%905.01M-30.22%866.23M62.65%1.49B69.78%1B69.78%1B114.21%943.23M209.47%1.24B
-Taxes receivable 12.08%609.82M95.96%751.97M95.96%751.97M51.71%487.71M45.14%605.6M152.73%544.09M87.81%383.73M87.81%383.73M86.41%321.48M113.75%417.26M
-Other receivables -66.20%32.32M-37.50%61.42M-37.50%61.42M-45.55%63.63M-30.74%86.2M-12.07%95.64M-2.46%98.27M-2.46%98.27M55.68%116.86M79.10%124.46M
Inventory -7.40%1.76B-0.54%1.77B-0.54%1.77B12.40%1.87B10.80%1.85B49.29%1.9B50.73%1.78B50.73%1.78B49.47%1.66B52.74%1.67B
Prepaid assets 25.02%136.72M25.61%94.16M25.61%94.16M28.21%93.97M-2.21%81.55M27.99%109.36M4.83%74.96M4.83%74.96M31.35%73.29M86.75%83.4M
Restricted cash -2.47%29.13M0.42%29.97M0.42%29.97M55.48%29.8M--29.91M--29.87M--29.84M--29.84M--19.17M----
Other current assets 66.89%1.95M80.76%2.29M80.76%2.29M-7.76%904K65.13%1.18M15.97%1.17M68.17%1.27M68.17%1.27M-10.09%980K-17.74%714K
Total current assets -19.67%5.64B-16.10%5.87B-16.10%5.87B-10.32%6.23B0.25%6.18B19.06%7.02B52.45%6.99B52.45%6.99B55.24%6.95B63.92%6.16B
Non current assets
Net PPE 26.20%3.93B30.37%3.82B30.37%3.82B32.95%3.6B32.78%3.35B42.20%3.11B32.25%2.93B32.25%2.93B30.59%2.71B30.63%2.52B
-Gross PPE 160.31%8.11B17.74%7.91B17.74%7.91B17.99%7.59B17.53%7.27B-46.15%3.11B16.44%6.72B16.44%6.72B15.39%6.43B14.78%6.19B
-Accumulated depreciation ---4.18B-7.99%-4.1B-7.99%-4.1B-7.12%-3.99B-7.03%-3.92B-----6.60%-3.79B-6.60%-3.79B-6.39%-3.72B-5.94%-3.66B
Goodwill and other intangible assets -19.85%20.8M-17.11%21.91M-17.11%21.91M-14.07%23.3M-45.61%24.54M-87.70%25.95M-59.16%26.43M-59.16%26.43M-59.19%27.11M-34.16%45.12M
-Goodwill -0.93%958K-0.93%958K-0.93%958K-0.93%958K-94.57%958K-97.20%967K-97.20%967K-97.20%967K-97.20%967K-57.92%17.66M
-Other intangible assets -20.58%19.84M-17.72%20.95M-17.72%20.95M-14.56%22.34M-14.12%23.59M-85.84%24.99M-15.48%25.46M-15.48%25.46M-17.87%26.14M3.38%27.46M
Financial assets -96.81%1.27M-29.25%15.99M-29.25%15.99M--4.62M--47.12M677.79%39.92M9,126.94%22.61M9,126.94%22.61M--0--0
Other non current assets 30.65%65.88M25.13%64.67M25.13%64.67M40.01%52.59M53.61%53.3M52.66%50.42M57.25%51.68M57.25%51.68M-18.96%37.56M-54.13%34.7M
Total non current assets 19.34%4.95B52.56%5.84B52.56%5.84B43.42%4.74B40.67%4.38B59.56%4.14B47.55%3.83B47.55%3.83B41.38%3.3B38.04%3.12B
Total assets -5.20%10.59B8.19%11.71B8.19%11.71B7.00%10.97B13.82%10.56B31.44%11.17B50.68%10.82B50.68%10.82B50.49%10.25B54.21%9.28B
Liabilities
Current liabilities
Payables -56.92%436.66M-28.62%586.26M-28.62%586.26M-53.47%745.66M-44.27%793.98M-41.93%1.01B53.80%821.33M53.80%821.33M395.49%1.6B310.46%1.42B
-accounts payable -3.74%321.5M23.16%441.78M23.16%441.78M-44.54%358.21M-18.19%312.73M0.11%333.98M28.53%358.71M28.53%358.71M148.78%645.86M68.64%382.26M
-Total tax payable -91.14%39.38M-83.97%72.76M-83.97%72.76M-84.76%64.39M-84.83%77.4M-23.27%444.46M106.11%453.81M106.11%453.81M626.99%422.38M1,801.13%510.21M
-Dividends payable -70.45%68.89M687.72%69.38M687.72%69.38M-39.40%323.07M-66.78%176.52M-71.97%233.13M-74.23%8.81M-74.23%8.81M10,920.09%533.15M471.70%531.44M
-Other payable 246.01%6.9M--2.35M--2.35M----31,341.77%227.32M219.90%1.99M--------30.20%1.13M18.72%723K
Current provisions -67.52%353.91M-69.89%392.32M-69.89%392.32M-34.63%686.44M-39.89%775.92M79.74%1.09B310.23%1.3B310.23%1.3B539.33%1.05B1,008.63%1.29B
Current debt and capital lease obligation 194.49%1.5B152.67%1.23B152.67%1.23B178.41%1.15B110.09%882.98M1,079.59%509.89M905.68%486.58M905.68%486.58M910.84%413.72M850.56%420.29M
-Current debt 198.39%1.48B155.31%1.21B155.31%1.21B181.05%1.13B111.70%868.61M1,291.98%497.26M1,066.27%474.43M1,066.27%474.43M1,109.10%403.78M1,025.80%410.3M
-Current capital lease obligation 40.98%17.81M49.74%18.19M49.74%18.19M71.36%17.03M43.84%14.37M68.33%12.63M57.70%12.15M57.70%12.15M31.94%9.94M28.58%9.99M
Other current liabilities -3.88%47.8M-90.38%28.18M-90.38%28.18M-46.07%54.74M-63.30%56.94M164.30%49.73M1,063.60%292.93M1,063.60%292.93M619.65%101.5M1,369.45%155.16M
Current liabilities -15.04%2.41B-22.95%2.35B-22.95%2.35B-16.63%2.73B-23.64%2.59B13.70%2.83B207.71%3.05B207.71%3.05B425.85%3.27B482.79%3.39B
Non current liabilities
Long term provisions -2.25%56.84M4.13%60.45M4.13%60.45M-5.55%54.79M-4.35%62.03M-9.91%58.15M-4.89%58.05M-4.89%58.05M-0.37%58.01M10.96%64.85M
Long term debt and capital lease obligation 20.14%2.96B34.57%3.26B34.57%3.26B15.52%2.51B17.27%2.55B-4.82%2.47B-5.36%2.42B-5.36%2.42B-15.40%2.17B13.99%2.18B
-Long term debt 20.48%2.91B34.98%3.21B34.98%3.21B15.51%2.45B17.69%2.5B-5.10%2.42B-5.58%2.37B-5.58%2.37B-15.69%2.12B13.24%2.13B
-Long term capital lease obligation 3.64%51.98M14.89%56.97M14.89%56.97M15.63%55.11M-0.39%49.82M10.67%50.16M6.59%49.59M6.59%49.59M0.21%47.66M59.03%50.01M
Derivative product liabilities 1,103.86%30.59M-57.42%8.42M-57.42%8.42M-68.20%22.85M-90.20%4.48M-88.73%2.54M-72.88%19.77M-72.88%19.77M2.46%71.86M135.85%45.68M
Total non current liabilities 21.70%3.49B33.57%3.79B33.57%3.79B26.74%2.96B30.27%3.02B3.65%2.87B-4.61%2.84B-4.61%2.84B-18.59%2.33B5.70%2.32B
Total liabilities 3.45%5.9B4.27%6.14B4.27%6.14B1.41%5.69B-1.72%5.61B8.41%5.7B48.51%5.89B48.51%5.89B60.73%5.61B105.56%5.71B
Shareholders'equity
Share capital -0.00%1.58B0.00%1.58B0.00%1.58B0.00%1.58B0.00%1.58B0.00%1.58B0.00%1.58B0.00%1.58B-0.00%1.58B-0.02%1.58B
-common stock -0.00%1.58B0.00%1.58B0.00%1.58B0.00%1.58B0.00%1.58B0.00%1.58B0.00%1.58B0.00%1.58B-0.00%1.58B-0.02%1.58B
Retained earnings -23.39%2.97B14.57%3.84B14.57%3.84B20.04%3.7B69.79%3.36B135.13%3.88B103.28%3.35B103.28%3.35B75.53%3.08B20.08%1.98B
Total stockholders'equity -14.33%4.65B12.95%5.53B12.95%5.53B13.82%5.25B39.02%4.91B69.56%5.43B53.91%4.9B53.91%4.9B40.27%4.61B10.40%3.53B
Noncontrolling interests 2.68%37M2.43%36.23M2.43%36.23M2.72%37.57M4.01%36.75M6.09%36.04M2.66%35.37M2.66%35.37M-5.80%36.57M-7.06%35.34M
Total equity -14.22%4.69B12.87%5.57B12.87%5.57B13.74%5.28B38.68%4.95B68.89%5.47B53.36%4.93B53.36%4.93B39.73%4.65B10.19%3.57B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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