Sociedad Química y Minera de Chile S.A. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €6.46B +5.2% €1.49B +∞% 23.0% +0.23 pp €1.08B +∞% 16.8% +0.17 pp
    (estimated) €6.14B +15.5% N/A N/A N/A N/A
    (estimated) €5.32B +19.0% €968.69M +27.5% 18.2% +0.012 pp €1.08B +189.5% 20.2% +0.12 pp
    (estimated) €4.47B +16.4% €759.92M +36.7% 17.0% +0.025 pp €372.00M +79.2% 8.3% +0.029 pp
    (estimated) €3.84B -0.6% €556.00M -261.2% 14.5% +0.23 pp €207.62M -89.2% 5.4% -0.44 pp
    €3.86B -39.4% -€344.90M -120.1% -8.9% -0.36 pp €1.92B +142.8% 49.6% +0.37 pp
    €6.37B -30.3% €1.72B -48.5% 27.0% -0.095 pp €789.24M -81.4% 12.4% -0.34 pp
    €9.14B +274.2% €3.33B +567.2% 36.5% +0.16 pp €4.25B +287.3% 46.5% +0.016 pp
    €2.44B +57.5% €499.36M +255.9% 20.5% +0.11 pp €1.10B +154.9% 45.0% +0.17 pp
    €1.55B -6.5% €140.33M -40.8% 9.1% -0.053 pp €430.79M -32.5% 27.8% -0.11 pp
    €1.66B €237.22M 14.3% €638.26M 38.5%

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