Company: SQM
Filing Date: 2025-06-12
Form Type: 6-K
Source: 0000909037-25-000030
Chunk: 4

Company: CHEMICAL & MINING CO OF CHILE INC
Filing Date: 2025-06-12
Form: 6-K
Chunk 4
---
 |     |         |     |                                                  |    -6,653 |     |    -4,785 |
| Proceeds from long-term loans                                                               |     |         |     |                                                  |   164,000 |     |         - |
| Receipts from short-term loans                                                              |     |         |     |                                                  |   185,000 |     |    15,000 |
| Loan repayments                                                                             |     |         |     |                                                  |  -456,905 |     |   -22,571 |
| (Payments) proceeds from hedges associated to loans                                         |     |         |     |                                                  |      -151 |     |       516 |
| Dividends paid                                                                              |     |         |     |                                                  |    -4,075 |     |      -607 |
| Net cash flows generated from (used in) financing activities                                |     |         |     |                                                  |  -118,784 |     |   -12,447 |
| Net increase in cash and cash equivalents before the effect of changes in the exchange rate |     |         |     |                                                  |   278,225 |     |   288,880 |
| Effects of exchange rate fluctuations on cash and cash equivalents                          |     |         |     |                                                  |        13 |     |   -14,512 |
| Increase in cash and cash equivalents                                                       |     |         |     |                                                  |   278,238 |     |   274,368 |
| Cash and cash equivalents at beginning                                                      |     |         |     |                                                  | 1,377,851 |     | 1,041,369 |
| Cash and cash equivalents at end                                                            |     |      10 |     |                                                  | 1,656,089 |     | 1,315,737 |

9

### Consolidated Interim Financial Statements

#### March 31, 2025
The accompanying notes form an integral part of these consolidated interim financial statements.

10

### Consolidated Interim Financial Statements

#### March 31, 2025
11

### Consolidated Interim Financial Statement

#### March 31, 2025
Consolidated Interim Statements of Changes in Equity

| Consolidated Statements of Changes in Equity |     | Share capital |           |     | Foreign currency translation reserves |         |     | Hedge reserves |        |     | Gains and losses from financial assets reserve |        |     | Actuarial gains and losses from