Sociedad Quimica Y Minera S.A Financial Ratios for Analysis 2009-2024 | SQM

Fifteen years of historical annual and quarterly financial ratios and margins for Sociedad Quimica Y Minera S.A (SQM).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
2.332.294.625.403.454.323.304.023.844.733.403.683.113.563.04
0.420.330.450.470.410.380.310.320.350.410.370.400.400.390.41
1.000.590.820.910.830.630.560.550.710.780.750.730.750.770.89
41.1853.5638.0826.5728.8134.4335.3431.5131.4028.9432.7542.3439.8534.2036.85
38.0951.6432.4016.6522.3129.4228.6523.1421.3322.3729.6037.0935.1227.8930.32
38.0951.6432.4016.6522.3129.4228.6523.1421.3322.3729.6037.0935.1227.8930.32
38.0951.6432.4016.6522.3129.4228.6523.1421.3322.3729.6037.0935.1235.7640.15
37.5951.2329.3913.1320.1027.4127.5621.3917.8420.1127.8335.9634.2126.9528.89
12.3636.4720.459.0514.3119.4119.8314.3512.7511.7621.2026.7225.4420.8823.51
0.690.990.400.380.410.530.500.460.370.430.460.550.550.540.46
2.482.791.501.221.411.631.551.341.181.561.551.571.731.991.44
4.707.683.193.243.524.454.264.304.304.244.803.974.054.443.65
77.5947.5011411210482.0685.6184.8984.9286.1476.0591.9690.0482.18100
20.7879.3718.417.7913.1520.6819.0612.229.3510.6619.5130.0529.7223.1823.20
21.5382.1519.738.6714.6823.1020.4413.059.9711.4220.7332.0830.4223.7923.87
8.6336.188.253.495.9910.369.976.684.835.249.9514.8814.3111.4810.81
12.1053.4310.204.147.7412.7513.078.296.086.3212.3318.0917.8714.0313.65
15.6817.2711.268.228.118.128.548.779.128.719.248.317.086.355.56
-0.6914.280.881.171.621.992.882.411.622.252.482.472.172.351.41
-4.5511.110.38-0.890.401.062.341.931.201.821.010.770.281.080.08

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.192.342.332.282.392.482.292.121.822.374.627.196.475.125.403.664.283.243.452.762.803.924.324.343.643.223.303.794.193.614.023.604.073.533.843.433.444.694.733.794.224.283.402.803.393.763.684.204.143.233.113.023.413.603.564.144.734.313.043.213.202.72
0.370.390.420.320.340.310.330.320.380.440.450.44-0.460.470.450.450.450.410.380.380.390.380.360.360.320.310.310.320.320.320.320.320.340.350.360.360.400.410.380.360.360.370.380.390.380.400.370.380.390.400.360.370.380.390.410.410.390.410.160.390.29
0.590.950.720.690.680.540.590.560.730.810.820.790.010.860.910.920.911.030.830.850.860.650.630.580.640.520.560.510.530.540.550.570.580.710.710.740.750.770.780.700.640.640.750.770.780.690.730.670.700.720.750.690.710.710.770.780.740.730.890.330.820.59
31.6433.9869.8240.9544.5147.0752.4055.1949.9257.6650.0633.9831.6225.8625.7925.3427.8927.4829.1928.3728.8428.8535.7229.8435.0037.1437.6033.7535.6134.3136.9928.9130.0128.9828.6829.0933.9833.7328.5630.5427.8328.9929.7228.5033.1638.3238.9942.6443.2744.6140.0742.0637.9939.0833.9432.9036.0233.8520.9834.1738.6744.24
26.3928.9477.1338.6042.7345.2650.8653.1047.7955.6945.2826.1625.2421.7519.165.9420.4521.2722.3021.8721.6323.4033.7222.8929.1831.8727.8227.7330.2728.9825.6217.7325.1824.0520.7810.4328.2425.7822.4723.3821.2022.5520.6236.4727.2433.1032.4537.1039.4739.2539.2135.6532.9832.3525.3427.8831.7126.5525.4028.9731.5636.78
26.3928.9477.1338.6042.7345.2650.8653.1047.7955.6945.2826.1625.2421.7519.165.9420.4521.2722.3021.8721.6323.4033.7222.8929.1831.8727.8227.7330.2728.9825.6217.7325.1824.0520.7810.4328.2425.7822.4723.3821.2022.5520.6236.4727.2433.1032.4537.1039.4739.2539.2135.6532.9832.3525.3427.8831.7126.5525.4028.9731.5636.78
--------------------------------------------------------------
24.7027.6879.7837.9142.5345.6551.2252.5446.7755.0342.9923.0321.6018.1116.762.1316.7316.8519.9318.3519.6022.3828.8221.0728.5831.0726.8427.5327.7528.2224.2716.0323.9021.1017.755.3823.0725.7019.3721.0619.3320.7119.0034.1225.2531.8831.0436.5737.6738.6238.7234.1332.2631.4725.6127.1829.6525.1124.9227.0830.7533.72
18.23-80.1717226.0530.8233.1236.7337.1833.0639.4229.6616.0415.2712.8613.040.3811.0911.4814.1712.7914.2015.9719.2215.3720.9621.9419.2220.2020.0219.9114.6011.0716.9714.9412.593.0717.1918.503.7614.2313.6115.1714.0126.6618.9624.3523.5926.8528.1328.3329.4824.9323.9723.2120.9220.6322.0319.6919.4522.3924.6027.23
0.220.10-0.090.170.410.200.290.290.280.240.150.100.100.110.110.090.100.080.100.100.100.120.130.130.150.120.130.130.120.120.130.120.120.080.090.090.100.080.110.100.110.120.100.100.120.140.140.140.160.130.140.150.150.140.150.140.150.130.120.120.120.11
0.950.41-0.160.581.290.630.840.800.780.670.460.390.370.370.350.310.310.270.340.350.370.380.400.420.460.350.400.400.340.360.350.350.340.270.290.320.330.270.380.350.420.420.360.390.410.430.410.420.490.360.430.470.540.470.550.480.490.410.420.390.340.31
1.861.14-0.601.324.121.342.252.611.811.861.210.941.161.050.920.821.180.920.861.011.001.031.111.091.241.081.141.271.161.081.231.181.271.031.020.991.100.911.030.901.030.961.070.920.890.870.980.961.140.871.021.031.151.081.230.921.030.860.981.370.900.82
48.5078.87-150.0467.9421.8567.3040.0434.4449.7248.3274.5295.9277.7286.0898.1011076.4297.8210588.6889.9987.4381.1182.7772.7183.1879.2370.9077.8483.4473.2976.3470.6887.4187.9891.0081.6298.8087.0699.8287.6894.2383.9397.3210110391.6593.3178.7810488.3887.5877.9483.6573.3597.4587.1710591.5765.62100109
8.76-18.53-36.529.1226.9113.7523.3723.7424.1324.6410.043.272.813.193.160.162.422.153.192.863.293.795.153.946.255.054.965.024.494.573.582.433.612.412.240.633.533.080.943.042.873.302.965.934.586.536.607.068.787.538.677.417.276.306.485.776.694.945.155.77-5.64
9.06-19.16-37.859.4027.8214.1824.1924.6525.4926.3610.763.493.013.543.520.182.702.413.573.203.674.235.764.276.775.415.325.384.824.903.822.593.852.572.390.673.773.291.013.253.043.503.156.054.726.707.047.198.967.708.887.587.456.466.655.916.875.075.305.896.075.77
4.04-8.20-15.174.3912.616.7310.6510.769.289.394.501.591.511.431.420.071.080.901.461.301.491.852.582.043.112.632.602.732.442.421.961.311.981.251.160.311.761.520.461.521.541.761.512.832.273.353.273.724.553.714.183.823.713.223.212.853.392.542.402.782.892.97
5.50-11.39-21.266.2117.869.5315.7316.1215.0013.745.571.842.811.711.680.091.341.191.881.772.022.323.182.513.983.463.403.453.053.102.431.652.451.601.460.402.251.840.561.881.852.101.873.662.824.073.974.445.424.625.214.774.563.923.923.413.963.013.034.873.724.01
17.4216.4115.6818.5017.33-17.27---11.26--8.318.227.958.058.028.118.148.128.128.128.128.138.568.548.558.548.578.778.928.829.239.129.049.028.878.718.609.549.429.249.109.038.898.319.018.397.657.087.536.986.776.356.366.025.895.56---
2.480.53-0.691.43-0.04-2.1714.2810.295.113.660.881.470.810.131.170.690.480.051.621.260.800.301.991.701.130.542.881.961.140.452.411.720.980.391.621.521.110.432.251.811.460.472.481.921.230.522.471.911.260.392.171.351.170.572.351.610.980.291.430.780.460.26
1.09-0.08-4.55-1.38-1.86-3.0311.118.123.723.030.380.470.23-0.12-0.89-0.17-0.11-0.230.400.360.240.041.061.020.730.352.341.600.970.381.931.410.740.251.201.190.910.351.821.491.250.351.010.690.380.120.770.810.550.120.28-0.120.270.151.080.720.440.01-0.01-0.23-0.11-0.02