Antofagasta Results Presentation Deck slide image

Antofagasta Results Presentation Deck

1 Cash flow Cash flow in 2020 FY¹ $ million $2,193m Cash at 1 Jan 2020 Excludes Zaldívar (JV) 2,647 EBITDA from subsidiaries (216) Working capital ¹ (320) Tax (1,307) Capex $1,480m (40) 918 Net Net interest borrowings 210 Capital increase (Marubeni) (411) Dividends (1) Others ANTOFAGASTA PLC $3,673m Cash at 31 Dec 2020 29
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