NYSE:SSL
Sasol Limited
- Stock
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)