Sociedad Química y Minera de Chile S.A.
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
7.015.215.234.73
Price/Sales ratio
1.971.771.561.48
Earnings per Share (EPS)
$6.41$8.62$8.6$9.5

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
21.2023.4727.0937.8422.9125.6379.6924.605.838.54-33.1925.63
Price/Sales ratio
3.122.893.887.504.443.667.215.032.122.302.133.66
Price/Book Value ratio
2.802.133.357.394.833.416.174.524.653.112.093.41
Price/Cash Flow ratio
10.6311.7011.9037.8422.9116.6971.9417.515.83-96.4787.5222.91
Price/Free Cash Flow ratio
13.1215.8315.0756.6883.4769.10-93.6440.257.59-13.41-18.9169.10
Price/Earnings Growth ratio
-0.58-0.820.860.706.14-0.67-1.970.100.01-0.17-6.14-0.67
Dividend Yield
6.03%2.54%5.29%2.31%5.45%4.62%1.69%3.96%9.81%8.55%0.57%4.62%
Profitability Indicator Ratios
Gross Profit Margin
28.94%31.40%31.50%35.34%34.52%28.81%26.57%38.08%53.56%41.15%29.93%28.81%
Operating Profit Margin
22.72%20.91%23.11%28.64%29.51%22.31%16.64%32.39%51.64%38.72%25.75%22.31%
Pretax Profit Margin
20.46%17.42%21.39%27.56%27.40%20.09%13.12%29.38%51.22%37.58%22.00%20.09%
Net Profit Margin
14.71%12.33%14.34%19.82%19.41%14.30%9.05%20.45%36.47%26.95%-6.74%14.30%
Effective Tax Rate
26.29%27.82%32.04%27.94%28.81%28.16%29.42%29.60%28.65%28.04%130.55%28.81%
Return on Assets
6.35%4.59%6.59%9.95%10.30%5.93%3.41%8.31%36.10%17.19%-2.84%5.93%
Return On Equity
13.23%9.11%12.39%19.54%21.09%13.33%7.74%18.40%79.77%36.39%-6.36%13.33%
Return on Capital Employed
11.05%9.17%12.32%17.41%18.01%11.09%6.96%15.32%71.21%30.91%13.08%11.09%
Liquidity Ratios
Current Ratio
4.733.834.023.294.313.455.39N/AN/AN/A2.933.45
Quick Ratio
3.042.402.312.092.672.183.103.431.701.742.052.18
Cash ratio
0.670.750.880.841.000.751.061.520.870.440.810.75
Days of Sales Outstanding
90.0980.1480.3879.7676.2580.4875.3185.6736.89N/AN/A80.48
Days of Inventory outstanding
234.52309.04272.88236.05224.79259.40298.99243.80130.93147.41184.17259.40
Operating Cycle
324.61389.19353.27315.82301.04339.88374.30329.47167.82147.41184.17339.88
Days of Payables Outstanding
36.9742.1255.0151.2540.1954.1855.6257.4826.3236.6940.9140.19
Cash Conversion Cycle
287.64347.06298.25264.56260.85285.70318.68271.99141.50110.71143.25285.70
Debt Ratios
Debt Ratio
0.370.340.300.290.310.370.400.370.260.380.420.31
Debt Equity Ratio
0.780.690.560.570.640.850.920.820.580.800.930.64
Long-term Debt to Capitalization
0.400.340.320.320.380.410.470.440.320.360.420.38
Total Debt to Capitalization
0.430.400.360.360.390.460.480.450.360.440.480.39
Interest Coverage Ratio
6.955.308.2413.1611.816.083.64N/AN/AN/A6.136.08
Cash Flow to Debt Ratio
0.330.260.490.340.320.230.090.311.36-0.030.020.23
Company Equity Multiplier
2.081.981.871.962.042.242.262.212.202.112.222.04
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.290.240.320.190.190.210.100.280.36-0.020.020.21
Free Cash Flow / Operating Cash Flow Ratio
0.810.730.780.660.270.24-0.760.430.767.18-4.420.24
Cash Flow Coverage Ratio
0.330.260.490.340.320.230.090.311.36-0.030.020.23
Short Term Coverage Ratio
2.801.063.531.9418.641.462.6420.218.23-0.140.121.46
Dividend Payout Ratio
127.89%59.73%143.52%87.42%125.12%118.57%134.93%97.65%57.30%73.08%-120.13%118.57%