Salt Lake Potash Limited reported cash flow results for the quarter and year to date ended June 30, 2018. For the quarter, the company's net cash used in operating activities was AUD 2,422,000. Payments to acquire property, plant and equipment was AUD 168,000 a year ago.

For the nine months, the company's net cash used in operating activities was AUD 9,522,000. Payments to acquire property, plant and equipment was AUD 290,000.

The company provided cash flow guidance for the quarter ended September 30, 2018. For the period, Total estimated cash outflows for the quarter ended September 30, 2018 to be AUD 2,200,000.