Antofagasta Results Presentation Deck slide image

Antofagasta Results Presentation Deck

1 Cash flow Cash flow in 2021 HY¹ $ million $3,673m 2,284 Excludes Zaldívar and JVs 177 Cash at EBITDA from Working 1 Jan 2021 Subsidiaries Capital (348) Tax (782) Capex +$567m (27) (271) Net Net Interest borrowings 65 (518) (13) Dividends Dividends Others from associates $4,240m Cash at 30 Jun 2021 ANTOFAGASTA PLC 31
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