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COM:SASOL

Sasol

  • Stock

USD

Last Close

5.47

22/11 21:00

Market Cap

4.81B

Beta: -

Volume Today

8.15K

Avg: -

Preview

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Jun '20
Sep '20
Dec '20
Mar '21
Sep '21
Mar '22
Jun '22
Jun '22
Sep '22
Dec '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
net income
-47.58B
-
7.25B
115.23%
7.25B
0%
-2.73B
137.67%
7.49B
374.37%
11.99B
60.09%
1.56B
87.02%
23.98B
1,441.30%
7.29B
69.60%
14.58B
100%
841.54M
94.23%
-2.89B
443.30%
-316.94M
89.03%
4.79B
1,611.95%
512.64M
89.30%
-26.93B
5,352.74%
-26.93B
0%
depreciation and amortization
4.53B
-
4.52B
0.06%
4.30B
4.98%
3.47B
19.33%
3.57B
2.93%
463.11M
87.02%
7.14B
1,441.30%
4.17B
41.52%
8.35B
100%
465.54M
94.42%
4.52B
871.13%
462.25M
89.78%
3.85B
733.00%
409.30M
89.37%
4.00B
876.19%
4.00B
0%
deferred income tax
stock based compensation
427M
-
536.50M
-
298M
44.45%
284M
4.70%
568M
-
282.50M
50.26%
565M
100%
234M
-
235M
-
258M
-
258M
0%
change in working capital
-3.25B
-
-6.04B
85.92%
-3.54B
41.38%
-7.31B
106.60%
-14.62B
-
479M
103.28%
958M
100%
4.98B
-
-3.60B
-
-412.13M
88.54%
2.02B
590.38%
2.02B
0%
accounts receivables
-3.60B
-
-88.50M
97.54%
-4.62B
5,118.64%
-9.24B
-
2.48B
126.85%
4.96B
100%
2.02B
-
-1.66B
-
-177.85M
89.30%
115.50M
164.94%
115.50M
0%
inventory
-2.44B
-
-3.45B
41.61%
-2.69B
21.99%
-5.38B
-
-2.00B
62.81%
-4.00B
100%
2.96B
-
-1.93B
-
-206.73M
89.30%
1.91B
1,021.71%
1.91B
0%
accounts payables
-27.55M
-
other working capital
other non cash items
75.69B
-
-8.62B
111.39%
-8.52B
1.10%
17.39B
304.07%
225.50M
98.70%
3.67B
1,529.71%
-436.57M
111.88%
7.35B
1,783.57%
-5.49B
174.64%
-10.97B
100%
-507.22M
95.38%
11.01B
2,269.77%
1.78B
83.86%
-810.50M
145.64%
-27.07M
96.66%
34.87B
128,947.26%
34.87B
0%
net cash provided by operating activities
28.11B
-
3.58B
87.26%
13.46B
-
7.94B
41.01%
12.21B
53.71%
1.58B
87.04%
24.41B
1,443.07%
6.74B
72.40%
13.48B
100%
799.86M
94.06%
17.85B
2,131.65%
1.92B
89.24%
4.47B
132.75%
482.74M
89.21%
14.22B
2,845.70%
14.22B
0%
investments in property plant and equipment
35.16B
-
-3.75B
110.68%
-3.75B
0%
-4.43B
18.03%
-5.12B
15.48%
-6.45B
26.11%
-807.16M
87.49%
-12.91B
1,499.07%
-8.11B
37.20%
-16.21B
100%
-899.79M
94.45%
-7.26B
706.58%
-792.65M
89.08%
-7.93B
901.07%
-851.65M
89.27%
-7.10B
733.91%
-7.10B
0%
acquisitions net
515.99M
-
19.34M
-
57.78M
-
6.79M
-
purchases of investments
-9.49M
-
-3.12M
-
-15.42M
-
-9.47M
-
sales maturities of investments
1.69M
-
8.56M
-
1.82M
-
other investing activites
-73.71B
-
15.93B
121.61%
2.73B
82.83%
4.80B
75.70%
257M
94.65%
3.78B
1,369.07%
-32.69M
100.87%
7.55B
23,196.80%
1.07B
85.81%
2.14B
100%
71.41M
96.67%
174.50M
144.35%
5.16M
97.04%
-387M
7,596.82%
-37.76M
90.24%
95.50M
352.89%
95.50M
0%
net cash used for investing activites
-38.55B
-
12.17B
131.58%
-1.02B
108.38%
373M
136.57%
-4.86B
1,403.08%
-2.68B
44.90%
-331.66M
87.62%
-5.36B
1,514.92%
-7.03B
31.33%
-14.07B
100%
-812.15M
94.23%
-7.08B
772.13%
-736.57M
89.60%
-8.32B
1,029.83%
-890.27M
89.30%
-7.01B
687.01%
-7.01B
0%
debt repayment
-8.92B
-
-18.54B
-
-348.54M
-
1.15B
-
-145.83M
112.71%
-43.80M
-
-72.00M
-
common stock issued
common stock repurchased
dividends paid
-4M
-
-19M
-
-14M
26.32%
-10.50M
25%
-1.32M
87.46%
-21M
1,494.71%
-4.64B
22,011.90%
-9.29B
100%
-536.14M
94.23%
-2.23B
316.59%
-218.31M
90.23%
-3.17B
1,352.32%
-339.17M
89.30%
-646M
90.46%
-646M
0%
other financing activites
34.03B
-
-18.54B
154.48%
-117.50M
99.37%
-10.59B
8,914.89%
-4.00B
62.24%
-3.48B
13.06%
-46.07M
98.67%
-6.95B
14,993.87%
665.50M
109.57%
184M
72.35%
-90.87M
149.38%
-71.50M
21.31%
-57.35M
19.80%
-31.50M
45.07%
-79.70M
153.01%
-3.45B
4,230.70%
-3.45B
0%
net cash used provided by financing activities
25.11B
-
-18.54B
173.85%
-18.66B
0.61%
-10.61B
43.12%
-4.01B
62.18%
-3.49B
13.11%
-463.53M
86.71%
-6.97B
1,404.75%
-3.98B
42.97%
-7.96B
100%
-481.18M
93.95%
-2.31B
379.03%
-231.85M
89.94%
-3.20B
1,281.06%
-346.88M
89.17%
-4.10B
1,081.26%
-4.10B
0%
effect of forex changes on cash
-271.50M
-
-1.19B
-
753.50M
163.51%
126M
83.28%
-81.76M
164.89%
252M
408.22%
205M
18.65%
410M
100%
-80.93M
119.74%
1.01B
1,344.32%
-157.27M
115.62%
-279M
77.40%
47.28M
116.95%
-37.50M
179.31%
-37.50M
0%
net change in cash
14.67B
-
-34.09B
332.44%
-19.68B
42.28%
-27.61B
40.30%
-30.99B
12.24%
-30.51B
1.54%
705.29M
102.31%
12.37B
1,653.75%
-42.97B
447.38%
-8.11B
81.13%
-574.41M
92.92%
-34.83B
5,963.45%
795.66M
102.28%
-707.13M
-
cash at beginning of period
34.09B
-
27.61B
-
30.99B
12.24%
30.51B
1.54%
1.93B
93.68%
30.77B
1,496.00%
42.97B
39.63%
43.14B
0.40%
2.63B
93.90%
34.83B
1,222.64%
2.06B
94.09%
2.85B
-
cash at end of period
14.67B
-
-19.68B
-
2.63B
-
43.14B
1,538.25%
35.03B
-
2.06B
94.12%
2.85B
-
2.15B
-
operating cash flow
28.11B
-
3.58B
87.26%
13.46B
-
7.94B
41.01%
12.21B
53.71%
1.58B
87.04%
24.41B
1,443.07%
6.74B
72.40%
13.48B
100%
799.86M
94.06%
17.85B
2,131.65%
1.92B
89.24%
4.47B
132.75%
482.74M
89.21%
14.22B
2,845.70%
14.22B
0%
capital expenditure
35.16B
-
-3.75B
110.68%
-3.75B
0%
-4.43B
18.03%
-5.12B
15.48%
-6.45B
26.11%
-807.16M
87.49%
-12.91B
1,499.07%
-8.11B
37.20%
-16.21B
100%
-899.79M
94.45%
-7.26B
706.58%
-792.65M
89.08%
-7.93B
901.07%
-851.65M
89.27%
-7.10B
733.91%
-7.10B
0%
free cash flow
63.27B
-
-174M
100.28%
-3.75B
2,057.76%
9.03B
340.58%
2.82B
68.73%
5.75B
103.72%
775.09M
86.53%
11.51B
1,384.74%
-1.37B
111.88%
-2.73B
100%
-99.93M
96.35%
10.59B
10,699.76%
1.13B
89.34%
-3.46B
406.81%
-368.91M
89.35%
7.12B
2,029.45%
7.12B
0%

All numbers in USD (except ratios and percentages)