Company: SQM
Filing Date: 2025-04-03
Form Type: 6-K
Source: 0000909037-25-000010
Chunk: 8

Company: CHEMICAL & MINING CO OF CHILE INC
Filing Date: 2025-04-03
Form: 6-K
Chunk 8
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520 190,509 Total other comprehensive losses that will not be reclassified to income for the year, before taxes 6,668 184,666 Items of other comprehensive income that will be reclassified to income for the year, before taxes (Losses) gains from foreign currency exchange (34,516) 3,177 Cash flow hedges- effective portion of changes in fair value 2,520 126 Cash flow hedges-reclassified to income for the period 8,773 18,566 Total other comprehensive income that will be reclassified to income for the year (23,223) 21,869 Other items of other comprehensive income, before taxes (16,555) 206,535 Income taxes related to items of other comprehensive income that will not be reclassified to profit for the year Income tax (expense) benefit related to defined benefit plans measured through other comprehensive income (860) 1,582 Income tax expense related to gains on financial assets irrevocably measured at fair value through other comprehensive income (2,723) (57,242) Total income tax relating to components of other comprehensive income that will be not reclassified to profit for the year (3,583) (55,660) Income taxes relating to components of other comprehensive income that will be reclassified to profit for the year Income tax expense related to gains on cash flow hedges (3,049) (5,047) Total income tax (expense) benefit relating to components of other comprehensive income that will be reclassified to profit for the year (3,049) (5,047) Total other comprehensive (loss) income (23,187) 145,828 Total comprehensive (loss) income (420,822) 2,165,571 Comprehensive (loss) income attributable to Comprehensive (loss) income attributable to owners of the parent (427,749) 2,158,444 Comprehensive income attributable to non-controlling interest 6,927 7,127 (420,822) 2,165,571

Consolidated Financial Statements December 31, 2024 5 Consolidated Statements of Cash Flows (Audited) Consolidated Statements of Cash Flows Note N° For the period from January to December of the year 2024 2023 ThUS$ ThUS$ Cash flows generated from (used in) operating activities Classes of cash receipts generated from operating activities Cash receipts from sales of goods and rendering of services 5,102,866 8,162,698 Collections