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NYSE:SSL

Sasol Limited

  • Stock

USD

Last Close

7.51

20/05 18:49

Market Cap

5.46B

Beta: 2.21

Volume Today

772.28K

Avg: 305.78K

PE Ratio

11.13

PFCF: 22.57

Dividend Yield

0.59%

Payout:0%

Jun '20
Dec '20
Jun '22
Dec '22
Jun '23
Dec '23
net income
-47.58B
-
7.25B
115.23%
1.56B
78.53%
841.54M
45.91%
-316.94M
137.66%
512.64M
261.75%
depreciation and amortization
4.52B
-
463.11M
89.76%
465.54M
0.52%
462.25M
0.71%
409.30M
11.45%
deferred income tax
stock based compensation
change in working capital
-3.25B
-
-412.13M
-
accounts receivables
-177.85M
-
inventory
-206.73M
-
accounts payables
-27.55M
-
other working capital
other non cash items
75.69B
-
-8.52B
111.26%
-436.57M
94.88%
-507.22M
16.18%
1.78B
450.15%
-27.07M
101.52%
net cash provided by operating activities
28.11B
-
1.58B
-
799.86M
49.45%
1.92B
140.21%
482.74M
74.88%
investments in property plant and equipment
35.16B
-
-3.75B
110.68%
-807.16M
78.50%
-899.79M
11.48%
-792.65M
11.91%
-851.65M
7.44%
acquisitions net
515.99M
-
19.34M
96.25%
57.78M
198.78%
6.79M
88.24%
purchases of investments
-9.49M
-
-3.12M
67.14%
-15.42M
394.73%
-9.47M
38.61%
sales maturities of investments
1.69M
-
8.56M
-
1.82M
78.75%
other investing activites
-73.71B
-
2.73B
103.71%
-32.69M
101.20%
71.41M
318.44%
5.16M
92.77%
-37.76M
831.53%
net cash used for investing activites
-38.55B
-
-1.02B
97.35%
-331.66M
67.48%
-812.15M
144.88%
-736.57M
9.31%
-890.27M
20.87%
debt repayment
-8.92B
-
-18.54B
107.86%
-348.54M
98.12%
-145.83M
58.16%
-43.80M
69.96%
-72.00M
64.38%
common stock issued
common stock repurchased
dividends paid
-1.32M
-
-536.14M
40,613.87%
-218.31M
59.28%
-339.17M
55.37%
other financing activites
34.03B
-
-117.50M
100.35%
-46.07M
60.79%
-90.87M
97.23%
-57.35M
36.89%
-79.70M
38.98%
net cash used provided by financing activities
25.11B
-
-18.66B
174.30%
-463.53M
97.52%
-481.18M
3.81%
-231.85M
51.82%
-346.88M
49.61%
effect of forex changes on cash
-81.76M
-
-80.93M
1.02%
-157.27M
94.33%
47.28M
130.06%
net change in cash
14.67B
-
-19.68B
234.15%
705.29M
103.58%
-574.41M
181.44%
795.66M
238.52%
-707.13M
188.87%
cash at beginning of period
1.93B
-
2.63B
36.58%
2.06B
21.81%
2.85B
38.65%
cash at end of period
14.67B
-
-19.68B
234.15%
2.63B
113.38%
2.06B
21.81%
2.85B
38.65%
2.15B
24.77%
operating cash flow
28.11B
-
1.58B
-
799.86M
49.45%
1.92B
140.21%
482.74M
74.88%
capital expenditure
35.16B
-
-3.75B
110.68%
-807.16M
78.50%
-899.79M
11.48%
-792.65M
11.91%
-851.65M
7.44%
free cash flow
63.27B
-
-3.75B
105.93%
775.09M
120.64%
-99.93M
112.89%
1.13B
1,229.47%
-368.91M
132.68%

All numbers in USD (except ratios and percentages)