Antofagasta Results Presentation Deck slide image

Antofagasta Results Presentation Deck

Cash flow $ million $3,673m 4,667 (159) Cash at 1 Jan 2021 Subsidiaries EBITDA from Working Capital (777) Tax +$40m (1,778) (53) Capex (635) Net Net Interest borrowings Antofagasta plc | 2021 Preliminary financial results 143 (1,316) (52) Dividends Dividends from associates Others $3,713m Cash at 31 Dec 2021 32
View entire presentation