Company: SQM
Filing Date: 2025-06-12
Form Type: 6-K
Source: 0000909037-25-000030
Chunk: 147

Company: CHEMICAL & MINING CO OF CHILE INC
Filing Date: 2025-06-12
Form: 6-K
Chunk 147
---
 -770,510 |

#### 21.9

#### Finance expenses
| Finance expenses                                                 |     | For the period from January to March of the year |         |     |         |
| 2025                                                             |     |                                             2024 |         |     |         |
| ThUS$                                                            |     |                                            ThUS$ |         |     |         |
| Interest expense from bank borrowings and overdrafts             |     |                                                  |  -1,811 |     |  -1,212 |
| Interest expense from bonds                                      |     |                                                  | -45,802 |     | -37,015 |
| Interest expense from loans                                      |     |                                                  | -15,849 |     | -23,234 |
| Reversal of capitalized interest expenses                        |     |                                                  |  16,655 |     |  16,558 |
| Financial expenses for restoration and rehabilitation provisions |     |                                                  |  -3,833 |     |   1,617 |
| Interest on lease agreement                                      |     |                                                  |    -767 |     |    -578 |
| Other finance costs                                              |     |                                                  |  -2,532 |     |  -2,975 |
| Total                                                            |     |                                                  | -53,939 |     | -46,839 |

172

### Notes to the Consolidated Interim Financial Statements

#### March 31, 2025

#### 21.10

#### Finance income
| Finance income                                                       |     | For the period from January to March of the year |        |     |        |
| 2025                                                                 |     |                                             2024 |        |     |        |
| ThUS$                                                                |     |                                            ThUS$ |        |     |        |
| Interest from term deposits                                          |     |                                                  | 11,986 |     | 16,081 |
| Interest from marketable securities                                  |     |                                                  |  1,499 |     |  5,541 |
| Interest from maintenance of minimum bank balance in current account |     |                                                  |    407 |     |    844 |
| Other finance interests                                              |     |                                                  |  5,635 |     |  3,719 |
| Other finance income                                                 |     |                                                  |    133 |     |    135 |
| Total                                                                |     |                                                  | 19,660 |     | 26,320 |

173

### Notes to