US Stock MarketDetailed Quotes

Sasol (SSL)

Watchlist
  • 12.160
  • -0.960-7.32%
Close Apr 17 16:00 ET
  • 11.964
  • -0.196-1.61%
Post 20:01 ET
7.75BMarket Cap53.57P/E (TTM)

Sasol (SSL) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2025
(FY)Jun 30, 2024
(FY)Jun 30, 2023
(FY)Jun 30, 2022
(FY)Jun 30, 2021
(FY)Jun 30, 2020
(FY)Jun 30, 2019
(FY)Jun 30, 2018
(FY)Jun 30, 2017
(FY)Jun 30, 2016
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
28.76%38.31B
-16.01%29.75B
-12.00%35.42B
18.23%40.25B
14.51%34.04B
-6.93%29.73B
24.64%31.94B
-6.77%25.63B
-18.99%27.49B
-17.10%33.94B
Net income from continuing operations
168.92%18.82B
-226.88%-27.31B
-64.96%21.52B
269.56%61.42B
114.85%16.62B
-1,427.08%-111.93B
-52.48%8.43B
-44.02%17.75B
30.80%31.71B
-47.93%24.24B
Operating gains losses
22.47%-552M
82.48%-712M
-13.78%-4.06B
28.31%-3.57B
-169.39%-4.98B
1,225.08%7.18B
59.21%-638M
-115.43%-1.56B
-253.16%-726M
151.75%474M
Depreciation and amortization
-10.50%14B
-5.14%15.64B
17.18%16.49B
-20.24%14.07B
-20.97%17.64B
25.33%22.33B
8.46%17.81B
1.36%16.43B
-1.00%16.2B
20.64%16.37B
Other non cash items
-75.86%16.66B
207.42%69.01B
659.66%22.45B
-121.65%-4.01B
-84.50%18.53B
442.87%119.54B
85.34%22.02B
1,385.82%11.88B
-107.69%-924M
1,136.21%12.02B
Change In working capital
126.36%1.28B
-160.14%-4.84B
169.78%8.05B
-61.25%-11.54B
-222.54%-7.15B
142.24%5.84B
164.08%2.41B
-73.56%-3.76B
-184.81%-2.17B
-52.34%2.56B
-Change in receivables
63.99%-1.11B
-134.37%-3.09B
195.62%9B
-30.79%-9.41B
-211.93%-7.2B
17,281.08%6.43B
101.33%37M
-706.07%-2.79B
-112.14%-346M
2.85%2.85B
-Change in inventory
-746.30%-457M
-102.82%-54M
115.58%1.91B
-152.07%-12.28B
-243.42%-4.87B
509.77%3.4B
75.71%-829M
-6.19%-3.41B
-385.69%-3.21B
-70.11%1.13B
-Change in payables and accrued expense
268.16%2.85B
40.91%-1.69B
-128.20%-2.87B
106.65%10.16B
223.21%4.92B
-224.61%-3.99B
31.18%3.2B
75.23%2.44B
161.26%1.39B
-93.86%-2.27B
-Change in other working capital
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--855M
Cash from discontinued investing activities
Operating cash flow
28.76%38.31B
-16.01%29.75B
-12.00%35.42B
18.23%40.25B
14.51%34.04B
-6.93%29.73B
24.64%31.94B
-6.77%25.63B
-18.99%27.49B
-17.10%33.94B
Investing cash flow
Cash flow from continuing investing activities
15.56%-25.89B
-8.58%-30.66B
-87.27%-28.23B
-160.08%-15.08B
165.09%25.09B
31.66%-38.55B
-4.51%-56.41B
4.76%-53.98B
20.21%-56.68B
-68.79%-71.03B
Net PPE purchase and sale
15.72%-25.35B
2.12%-30.07B
-36.00%-30.73B
-41.69%-22.59B
54.63%-15.95B
36.99%-35.15B
-4.56%-55.78B
11.50%-53.35B
18.24%-60.28B
-63.74%-73.73B
Net intangibles purchase and sale
20.00%-68M
33.59%-85M
-6.67%-128M
-3,900.00%-120M
84.21%-3M
0.00%-19M
45.71%-19M
42.62%-35M
-177.27%-61M
72.15%-22M
Net business purchase and sale
1,831.25%309M
-97.73%16M
-91.58%704M
-80.65%8.36B
1,138.58%43.21B
451.18%3.49B
-70.09%633M
515.12%2.12B
1,538.10%344M
-95.94%21M
Net investment purchase and sale
-4.81%-109M
-19.54%-104M
-26.09%-87M
-256.82%-69M
-87.85%44M
552.50%362M
-700.00%-80M
85.29%-10M
-30.77%-68M
-230.00%-52M
Net other investing changes
-64.15%-673M
-120.47%-410M
405.34%2B
70.41%-656M
69.37%-2.22B
-521.20%-7.24B
56.87%-1.17B
-179.68%-2.7B
23.50%3.39B
11.40%2.75B
Cash from discontinued investing activities
Investing cash flow
15.56%-25.89B
-8.58%-30.66B
-87.27%-28.23B
-160.08%-15.08B
165.09%25.09B
31.66%-38.55B
-4.51%-56.41B
4.76%-53.98B
20.21%-56.68B
-68.79%-71.03B
Financing cash flow
Cash flow from continuing financing activities
-138.43%-16.61B
-686.36%-6.97B
107.94%1.19B
74.34%-14.95B
-332.02%-58.27B
8.56%25.11B
53.06%23.13B
58.47%15.11B
-67.32%9.54B
123.33%29.18B
Net issuance payments of debt
-138.43%-16.61B
-686.36%-6.97B
107.94%1.19B
74.34%-14.95B
-332.02%-58.27B
8.56%25.11B
53.06%23.13B
58.47%15.11B
-68.65%9.54B
128.96%30.42B
Proceeds from stock option exercised by employees
----
----
----
----
----
----
----
----
----
-62.50%54M
Net other financing activities
----
----
----
----
----
----
----
----
----
-255.07%-1.3B
Cash from discontinued financing activities
Financing cash flow
-138.43%-16.61B
-686.36%-6.97B
107.94%1.19B
74.34%-14.95B
-332.02%-58.27B
8.56%25.11B
53.06%23.13B
58.47%15.11B
-67.32%9.54B
123.33%29.18B
Net cash flow
Beginning cash position
-15.82%45.26B
25.14%53.77B
38.66%42.97B
-9.11%30.99B
115.53%34.09B
-7.16%15.82B
-41.89%17.04B
-43.80%29.32B
-1.61%52.18B
39.48%53.03B
Current changes in cash
46.81%-4.19B
-193.98%-7.87B
-18.04%8.38B
1,073.36%10.22B
-94.65%871M
1,317.64%16.29B
89.89%-1.34B
32.63%-13.24B
-148.07%-19.65B
-166.47%-7.92B
Effect of exchange rate changes
95.89%-26M
-126.11%-633M
37.81%2.42B
160.32%1.76B
-180.84%-2.92B
2,126.54%3.61B
-83.02%162M
129.75%954M
-145.37%-3.21B
128.40%7.07B
End cash Position
-9.31%41.05B
-15.82%45.26B
25.14%53.77B
38.66%42.97B
-9.11%30.99B
115.53%34.09B
-7.16%15.82B
-41.89%17.04B
-43.80%29.32B
-1.61%52.18B
Free cash flow
3,260.54%12.9B
-108.93%-408M
-73.95%4.57B
-3.08%17.54B
433.00%18.1B
77.22%-5.43B
14.04%-23.86B
15.52%-27.76B
17.48%-32.85B
-854.75%-39.81B
Currency Unit
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion with Explanatory Notes
Unqualified Opinion with Explanatory Notes
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
(FY)Jun 30, 2025(FY)Jun 30, 2024(FY)Jun 30, 2023(FY)Jun 30, 2022(FY)Jun 30, 2021(FY)Jun 30, 2020(FY)Jun 30, 2019(FY)Jun 30, 2018(FY)Jun 30, 2017(FY)Jun 30, 2016
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 28.76%38.31B-16.01%29.75B-12.00%35.42B18.23%40.25B14.51%34.04B-6.93%29.73B24.64%31.94B-6.77%25.63B-18.99%27.49B-17.10%33.94B
Net income from continuing operations 168.92%18.82B-226.88%-27.31B-64.96%21.52B269.56%61.42B114.85%16.62B-1,427.08%-111.93B-52.48%8.43B-44.02%17.75B30.80%31.71B-47.93%24.24B
Operating gains losses 22.47%-552M82.48%-712M-13.78%-4.06B28.31%-3.57B-169.39%-4.98B1,225.08%7.18B59.21%-638M-115.43%-1.56B-253.16%-726M151.75%474M
Depreciation and amortization -10.50%14B-5.14%15.64B17.18%16.49B-20.24%14.07B-20.97%17.64B25.33%22.33B8.46%17.81B1.36%16.43B-1.00%16.2B20.64%16.37B
Other non cash items -75.86%16.66B207.42%69.01B659.66%22.45B-121.65%-4.01B-84.50%18.53B442.87%119.54B85.34%22.02B1,385.82%11.88B-107.69%-924M1,136.21%12.02B
Change In working capital 126.36%1.28B-160.14%-4.84B169.78%8.05B-61.25%-11.54B-222.54%-7.15B142.24%5.84B164.08%2.41B-73.56%-3.76B-184.81%-2.17B-52.34%2.56B
-Change in receivables 63.99%-1.11B-134.37%-3.09B195.62%9B-30.79%-9.41B-211.93%-7.2B17,281.08%6.43B101.33%37M-706.07%-2.79B-112.14%-346M2.85%2.85B
-Change in inventory -746.30%-457M-102.82%-54M115.58%1.91B-152.07%-12.28B-243.42%-4.87B509.77%3.4B75.71%-829M-6.19%-3.41B-385.69%-3.21B-70.11%1.13B
-Change in payables and accrued expense 268.16%2.85B40.91%-1.69B-128.20%-2.87B106.65%10.16B223.21%4.92B-224.61%-3.99B31.18%3.2B75.23%2.44B161.26%1.39B-93.86%-2.27B
-Change in other working capital --------------------------------------855M
Cash from discontinued investing activities
Operating cash flow 28.76%38.31B-16.01%29.75B-12.00%35.42B18.23%40.25B14.51%34.04B-6.93%29.73B24.64%31.94B-6.77%25.63B-18.99%27.49B-17.10%33.94B
Investing cash flow
Cash flow from continuing investing activities 15.56%-25.89B-8.58%-30.66B-87.27%-28.23B-160.08%-15.08B165.09%25.09B31.66%-38.55B-4.51%-56.41B4.76%-53.98B20.21%-56.68B-68.79%-71.03B
Net PPE purchase and sale 15.72%-25.35B2.12%-30.07B-36.00%-30.73B-41.69%-22.59B54.63%-15.95B36.99%-35.15B-4.56%-55.78B11.50%-53.35B18.24%-60.28B-63.74%-73.73B
Net intangibles purchase and sale 20.00%-68M33.59%-85M-6.67%-128M-3,900.00%-120M84.21%-3M0.00%-19M45.71%-19M42.62%-35M-177.27%-61M72.15%-22M
Net business purchase and sale 1,831.25%309M-97.73%16M-91.58%704M-80.65%8.36B1,138.58%43.21B451.18%3.49B-70.09%633M515.12%2.12B1,538.10%344M-95.94%21M
Net investment purchase and sale -4.81%-109M-19.54%-104M-26.09%-87M-256.82%-69M-87.85%44M552.50%362M-700.00%-80M85.29%-10M-30.77%-68M-230.00%-52M
Net other investing changes -64.15%-673M-120.47%-410M405.34%2B70.41%-656M69.37%-2.22B-521.20%-7.24B56.87%-1.17B-179.68%-2.7B23.50%3.39B11.40%2.75B
Cash from discontinued investing activities
Investing cash flow 15.56%-25.89B-8.58%-30.66B-87.27%-28.23B-160.08%-15.08B165.09%25.09B31.66%-38.55B-4.51%-56.41B4.76%-53.98B20.21%-56.68B-68.79%-71.03B
Financing cash flow
Cash flow from continuing financing activities -138.43%-16.61B-686.36%-6.97B107.94%1.19B74.34%-14.95B-332.02%-58.27B8.56%25.11B53.06%23.13B58.47%15.11B-67.32%9.54B123.33%29.18B
Net issuance payments of debt -138.43%-16.61B-686.36%-6.97B107.94%1.19B74.34%-14.95B-332.02%-58.27B8.56%25.11B53.06%23.13B58.47%15.11B-68.65%9.54B128.96%30.42B
Proceeds from stock option exercised by employees -------------------------------------62.50%54M
Net other financing activities -------------------------------------255.07%-1.3B
Cash from discontinued financing activities
Financing cash flow -138.43%-16.61B-686.36%-6.97B107.94%1.19B74.34%-14.95B-332.02%-58.27B8.56%25.11B53.06%23.13B58.47%15.11B-67.32%9.54B123.33%29.18B
Net cash flow
Beginning cash position -15.82%45.26B25.14%53.77B38.66%42.97B-9.11%30.99B115.53%34.09B-7.16%15.82B-41.89%17.04B-43.80%29.32B-1.61%52.18B39.48%53.03B
Current changes in cash 46.81%-4.19B-193.98%-7.87B-18.04%8.38B1,073.36%10.22B-94.65%871M1,317.64%16.29B89.89%-1.34B32.63%-13.24B-148.07%-19.65B-166.47%-7.92B
Effect of exchange rate changes 95.89%-26M-126.11%-633M37.81%2.42B160.32%1.76B-180.84%-2.92B2,126.54%3.61B-83.02%162M129.75%954M-145.37%-3.21B128.40%7.07B
End cash Position -9.31%41.05B-15.82%45.26B25.14%53.77B38.66%42.97B-9.11%30.99B115.53%34.09B-7.16%15.82B-41.89%17.04B-43.80%29.32B-1.61%52.18B
Free cash flow 3,260.54%12.9B-108.93%-408M-73.95%4.57B-3.08%17.54B433.00%18.1B77.22%-5.43B14.04%-23.86B15.52%-27.76B17.48%-32.85B-854.75%-39.81B
Currency Unit ZARZARZARZARZARZARZARZARZARZAR
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified Opinion with Explanatory NotesUnqualified Opinion with Explanatory NotesUnqualified OpinionUnqualified OpinionUnqualified Opinion
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