CF Industries Holdings, Inc. (CF) vs Sociedad Química y Minera de Chile S.A. (SQM)

A side-by-side comparison of CF Industries Holdings, Inc. and Sociedad Química y Minera de Chile S.A. across valuation, profitability, dividends, and growth — built entirely from reported fundamentals, as of August 31, 2026. Differences are shown without an overall score or investment verdict.

Compare

Total returnCF vs SQM

growth of $100 · dividends reinvested · last 10y
CF +561.1% (+20.8%/yr)SQM +345.3% (+16.1%/yr)CF compounded faster over this window
200400600Start $10020182020202220242026$661$445
CF SQM

CF vs SQM: by the numbers

  • SQM is the larger company ($22.57B vs $19.97B market cap).
  • CF trades at the lower trailing earnings multiple (9.64 vs 16.26 P/E), one valuation lens rather than an overall verdict.
  • CF converts more revenue to profit (27.12% vs 20.61% net margin).
  • SQM grew revenue faster over the past five years (26.46% vs 11.04% CAGR).
  • CF pays the higher dividend yield (1.62% vs 1.29%).

Metrics side by side

Valuation

MetricCFSQM
P/E ratio9.6416.26
Forward P/E8.5711.59
P/S ratio2.593.35
P/B ratio3.483.59
EV / EBITDA5.518.29
FCF yield9.54%8.62%

Profitability

MetricCFSQM
Gross margin42.54%29.32%
Operating margin38.12%24.83%
Net margin27.12%20.61%
ROE36.52%22.09%
ROIC16.58%11.60%

Dividends

MetricCFSQM
Dividend yield1.62%1.29%
Payout ratio23.39%49.42%

Growth (annualized)

MetricCFSQM
Revenue CAGR (5Y)11.04%26.46%
EPS CAGR (5Y)43.52%27.15%
FCF CAGR (5Y)17.64%27.23%
Total return CAGR (5Y)26.01%13.19%

Frequently asked

Which has the lower trailing P/E, CF or SQM?
CF has the lower trailing P/E: CF trades at 9.64 and SQM at 16.26. P/E is one valuation measure and does not by itself establish which business is cheaper.
Which has grown faster, CF or SQM?
Over the past five years, SQM grew revenue faster — CF at a 11.04% CAGR versus SQM at 26.46%.
Does CF or SQM pay a bigger dividend?
CF yields 1.62% and SQM yields 1.29% based on trailing dividends and the latest price.
Is CF or SQM more profitable?
CF runs the higher net margin — CF at 27.12% versus SQM at 20.61%.
How have CF and SQM total returns compared?
Over the past 10 years, CF delivered 20.61% and SQM delivered 16.44% annualized total return. Past performance doesn't predict future results.

Figures are sourced from reported fundamentals and the latest end-of-day price. This comparison is informational only and is not investment advice. Past performance does not predict future results. See our methodology. Compiled by TGMCharts Research · data verified August 31, 2026.