Company: SQM
Filing Date: 2025-04-03
Form Type: 6-K
Source: 0000909037-25-000010
Chunk: 9

Company: CHEMICAL & MINING CO OF CHILE INC
Filing Date: 2025-04-03
Form: 6-K
Chunk 9
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 from premiums and benefits, annuities, and other subscribed policy benefits 1,000 - Cash receipts derived from sub-leases - 89 Classes of Payments Cash payments to suppliers for the provision of goods and services (3,399,104) (5,637,224) Cash payments relating to variable leases 22.8 (6,138) (4,700) Other payments related to operating activities (94,899) (86,291) Net cash generated from operating activities 1,603,725 2,434,572 Dividends received 8.1-9.1 18,566 9,328 Interest paid (240,825) (121,222) Interest paid on lease liabilities 22.9 (2,820) (2,038) Interest received 97,077 103,352 Income taxes paid (235,155) (2,309,640) Other cash inflows (outflows) (1) 3.4 34,110 (292,645) Net Cash generated (used in) from operating activities 1,274,678 (178,293) 182,234 Cash flows generated from (used in) investing activities Purchase of ownership interest in associates and joint ventures 9.4 (356,846) 4,745 Cash flows from purchase of interests in associates - (65,248) Acquisition of equity instruments (11,063) - Acquisition of subsidiaries 2.5 (122,594) - Proceeds from the sale of property, plant and equipment 23 44 Payment of loans from related entities (6,746) - Acquisition of property, plant and equipment (971,792) (1,103,598) Proceeds from sales of intangible assets 13,037 5,205 Proceeds related to futures, forward options and swap contracts 346 18,034 Loans to related parties 2,093 3,387 Purchase of other long-term assets 17 (10,701) (12,002) Other cash inflows (outflows) (2) (3) 250,251 (332,060) Cash flow used in from investing activities (1,213,992) (1,481,493) (1) Other inflows (outflows) of cash from operating activities include net increases (decreases) of value added tax, and banking expenses, taxes associated with interest payments, costs of issuance of debt and government grant. (2) Other cash inflows