Antofagasta Results Presentation Deck slide image

Antofagasta Results Presentation Deck

Cash flow $ million $2,391m Cash at 1 Jan 2023 1,285 EBITDA from subsidiaries 11 Working capital (323) Tax (1,022) Capex $(42)m (18) Net interest (146) Net borrowings received Antofagasta plc | 2023 Half Year Results (498) Div. to PLC shareholders (276) Others 945 Reko Diq ANTOFAGASTA PLC $2,350m Cash at 30 Jun 2023 32
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