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Sasol (SASOF) Financials

$3.71 0.00 (0.00%)
As of 05/29/2025
Annual Income Statements for Sasol

Annual Income Statements for Sasol

This table shows Sasol's income and expenses over time, based on annual financial data. All values are USD millions unless otherwise specified.

Metric 2024 2023 2022 2021 2020 2019 2018 2017 2016
Period end date 6/30/2024 6/30/2023 6/30/2022 6/30/2021 6/30/2020 6/30/2019 6/30/2018 6/30/2017 6/30/2016
Net Income / (Loss) Attributable to Common Shareholders
-2,429 467 2,388 630 -5,379 240 636 1,569 908
Consolidated Net Income / (Loss)
-2,427 495 2,555 735 -5,388 365 740 1,657 1,032
Net Income / (Loss) Continuing Operations
-2,427 495 2,555 735 -5,388 365 740 1,657 1,032
Total Pre-Tax Income
-1,893 770 3,405 748 -6,935 564 1,145 2,311 1,629
Total Operating Income
-1,498 1,142 3,766 1,159 -6,561 597 1,294 2,442 1,664
Total Gross Profit
7,524 7,291 9,120 8,129 5,877 7,993 7,642 7,777 6,978
Total Revenue
15,093 15,373 16,723 14,084 11,159 14,401 13,226 13,279 11,876
Operating Revenue
15,093 15,373 16,723 14,084 11,159 14,401 13,226 13,279 11,876
Total Cost of Revenue
7,568 8,082 7,603 5,955 5,282 6,408 5,584 5,502 4,897
Operating Cost of Revenue
7,568 8,082 7,603 5,955 5,282 6,408 5,584 5,502 4,897
Total Operating Expenses
9,022 6,149 5,354 6,970 12,438 7,392 6,349 5,335 5,314
Selling, General & Admin Expense
3,363 3,136 3,339 3,696 2,905 3,395 3,184 3,040 2,697
Depreciation Expense
858 875 863 1,231 1,309 1,260 1,197 1,248 1,124
Other Operating Expenses / (Income)
4,801 2,138 1,153 2,043 8,189 2,694 1,942 1,009 1,473
Total Other Income / (Expense), net
-395 -372 -360 -412 -374 -33 -149 -131 -36
Interest Expense
572 491 423 471 428 89 274 251 161
Interest & Investment Income
177 120 63 60 54 56 125 121 125
Income Tax Expense
534 275 850 13 -1,547 198 405 654 597
Net Income / (Loss) Attributable to Noncontrolling Interest
-1.43 -28 -167 105 -9.56 126 103 88 124
Basic Earnings per Share
($3.84) $0.74 $3.82 $14.57 ($148.49) $5.50 $14.26 $33.36 $21.66
Weighted Average Basic Shares Outstanding
648.48M 640.67M 635.68M 634.24M 632.37M 631.03M 645.56M - -
Diluted Earnings per Share
($3.84) $0.69 $3.76 $14.39 ($148.49) $5.46 $14.18 $33.27 $21.66
Weighted Average Diluted Shares Outstanding
648.48M 640.67M 635.68M 634.24M 632.37M 631.03M 645.56M - -
Weighted Average Basic & Diluted Shares Outstanding
648.48M 640.67M 635.68M 634.24M 632.37M 631.03M 645.56M - -
Cash Dividends to Common per Share
$2.00 $17.00 $14.70 - - $5.90 $12.90 $12.60 $14.80

Quarterly Income Statements for Sasol

No quarterly income statements for Sasol are available.


Annual Cash Flow Statements for Sasol

This table details how cash moves in and out of Sasol's business through operations, investing, and financing, using annual figures. All values are USD millions unless otherwise specified.

Metric 2024 2023 2022 2021 2020 2019 2018 2017 2016
Period end date 6/30/2024 6/30/2023 6/30/2022 6/30/2021 6/30/2020 6/30/2019 6/30/2018 6/30/2017 6/30/2016
Net Change in Cash & Equivalents
-467 573 734 -143 1,166 -83 -895 -1,760 -59
Net Cash From Operating Activities
1,632 1,880 2,468 2,375 1,743 2,260 1,868 2,117 2,330
Net Cash From Continuing Operating Activities
1,632 1,880 2,468 2,375 1,743 2,260 1,865 2,117 2,330
Net Income / (Loss) Continuing Operations
2,870 3,430 3,442 3,147 2,485 3,636 3,125 3,394 3,754
Consolidated Net Income / (Loss)
2,870 3,430 3,442 3,147 2,485 3,636 3,125 3,394 3,754
Non-Cash Adjustments To Reconcile Net Income
-808 -797 -918 -738 -692 -565 -625 -536 -691
Changes in Operating Assets and Liabilities, net
-431 -753 -56 -34 -49 -812 -632 -741 -733
Net Cash From Investing Activities
-1,682 -1,498 -924 1,750 -2,260 -3,991 -3,934 -4,365 -4,878
Net Cash From Continuing Investing Activities
-1,682 -1,498 -924 1,750 -2,260 -3,991 -3,932 -4,365 -4,878
Purchase of Property, Plant & Equipment
-1,669 -1,605 -1,427 -1,271 -2,458 -4,013 -4,074 -4,376 -4,841
Purchase of Investments
-9.49 -13 -5.82 -8.65 -7.09 -16 -9.04 -7.39 -15
Sale of Property, Plant & Equipment
7.08 42 520 3,014 251 40 169 61 39
Sale and/or Maturity of Investments
4.28 8.44 -35 -18 -1.70 10 8.31 2.16 -26
Other Investing Activities, net
-14 69 23 33 -44 -12 -26 -45 -35
Net Cash From Financing Activities
-382 63 -917 -4,064 1,472 1,636 1,101 734 2,004
Net Cash From Continuing Financing Activities
-382 63 -917 -4,064 1,472 1,636 1,101 734 2,000
Repayment of Debt
-2,066 -5,075 -922 -5,883 -1,839 -5,074 -860 -291 -246
Issuance of Debt
1,684 5,138 5.40 1,818 3,311 6,711 1,962 1,025 2,335
Effect of Exchange Rate Changes
-35 129 108 -203 211 11 70 -247 485

Quarterly Cash Flow Statements for Sasol

No quarterly cash flow statements for Sasol are available.


Annual Balance Sheets for Sasol

This table presents Sasol's assets and liabilities at the end of each period, using annual balance sheet data. All values are USD millions unless otherwise specified.

Metric 2024 2023 2022 2021 2020 2019 2018 2017
Period end date 6/30/2024 6/30/2023 6/30/2022 6/30/2021 6/30/2020 6/30/2019 6/30/2018 6/30/2017
Total Assets
20,023 23,022 25,723 25,164 27,818 32,982 32,014 30,726
Total Current Assets
6,947 7,122 8,091 6,594 5,493 5,338 5,923 6,774
Cash & Equivalents
2,490 2,862 2,645 2,179 2,036 1,123 1,248 2,129
Accounts Receivable
2,004 1,905 2,861 2,158 1,471 2,022 2,167 2,129
Inventories, net
2,234 2,240 2,521 2,075 1,630 2,097 2,140 1,954
Current Deferred & Refundable Income Taxes
25 22 45 78 318 52 241 195
Other Current Assets
194 94 19 106 38 45 120 228
Plant, Property, & Equipment, net
8,974 11,965 13,569 13,813 13,345 25,296 12,205 12,229
Total Noncurrent Assets
4,102 3,935 4,063 4,757 8,980 2,348 13,815 11,648
Long-Term Investments
948 900 902 840 805 786 870 986
Goodwill
135 169 187 173 164 237 196 182
Noncurrent Deferred & Refundable Income Taxes
2,040 2,001 1,913 1,710 1,856 606 299 237
Employee Benefit Assets
50 42 39 41 27 90 109 48
Other Noncurrent Operating Assets
923 805 1,005 1,251 1,187 448 12,412 10,270
Other Noncurrent Nonoperating Assets
5.38 16 18 742 4,940 181 - -
Total Liabilities & Shareholders' Equity
20,023 23,022 25,723 25,164 27,818 32,982 32,014 30,726
Total Liabilities
11,935 12,328 13,878 14,528 18,353 17,165 15,352 13,995
Total Current Liabilities
2,990 5,415 5,627 3,757 5,134 3,439 4,370 4,018
Short-Term Debt
217 2,321 1,483 512 2,548 268 1,072 748
Accounts Payable
2,425 2,575 3,284 2,558 2,096 2,792 2,708 2,804
Current Deferred Revenue
18 51 44 40 34 15 16 22
Current Deferred & Payable Income Tax Liabilities
61 100 193 56 39 73 169 147
Other Current Liabilities
270 368 623 591 417 291 405 298
Total Noncurrent Liabilities
8,945 6,913 8,251 10,771 13,219 13,726 10,982 9,977
Long-Term Debt
6,359 4,368 5,058 6,776 8,647 9,009 6,517 5,589
Noncurrent Deferred Revenue
24 25 23 28 49 65 64 70
Noncurrent Deferred & Payable Income Tax Liabilities
286 281 647 544 1,123 1,878 1,888 1,992
Noncurrent Employee Benefit Liabilities
623 602 617 928 861 899 867 853
Other Noncurrent Operating Liabilities
1,653 1,637 1,906 2,238 2,538 1,875 1,115 1,339
Other Noncurrent Nonoperating Liabilities
0.00 0.11 0.12 259 - - - 0.00
Total Equity & Noncontrolling Interests
8,088 10,694 11,845 10,636 9,140 15,783 16,662 16,731
Total Preferred & Common Equity
7,845 10,449 11,565 10,218 8,850 15,367 16,253 16,306
Total Common Equity
0.00 0.00 11,565 0.00 0.00 0.00 0.00 0.00
Noncontrolling Interest
243 245 280 417 290 416 410 425

Quarterly Balance Sheets for Sasol

No quarterly balance sheets for Sasol are available.


Annual Metrics And Ratios for Sasol

This table displays calculated financial ratios and metrics derived from Sasol's official financial filings.

Metric 2024 2023 2022 2021 2020 2019 2018 2017 2016
Period end date 6/30/2024 6/30/2023 6/30/2022 6/30/2021 6/30/2020 6/30/2019 6/30/2018 6/30/2017 6/30/2016
Growth Metrics
- - - - - - - - -
Revenue Growth
-1.82% -8.07% 18.73% 26.21% -22.51% 8.88% -0.40% 11.82% 0.00%
EBITDA Growth
-131.71% -56.42% 93.66% 145.50% -382.87% -25.45% -32.50% 32.34% 0.00%
EBIT Growth
-231.17% -69.67% 224.83% 117.67% -1,199.71% -53.88% -47.03% 46.71% 0.00%
NOPAT Growth
-242.79% -74.01% 148.00% 124.81% -1,287.56% -53.72% -52.26% 66.01% 0.00%
Net Income Growth
-590.09% -80.62% 247.78% 113.63% -1,574.71% -50.59% -55.37% 60.58% 0.00%
EPS Growth
-655.35% -81.64% -73.86% 109.69% -2,819.60% -61.50% -57.38% 53.60% 0.00%
Operating Cash Flow Growth
-13.17% -23.83% 3.92% 36.26% -22.87% 20.97% -11.78% -9.14% 0.00%
Free Cash Flow Firm Growth
-31.50% -19.56% 699.13% -107.32% 13,774.35% 102.13% 89.72% 0.00% 0.00%
Invested Capital Growth
-17.53% -8.21% 2.77% 11.99% -44.02% 1.53% 13.57% 0.00% 0.00%
Revenue Q/Q Growth
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
EBITDA Q/Q Growth
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
EBIT Q/Q Growth
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
NOPAT Q/Q Growth
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
Net Income Q/Q Growth
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
EPS Q/Q Growth
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
Operating Cash Flow Q/Q Growth
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
Free Cash Flow Firm Q/Q Growth
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
Invested Capital Q/Q Growth
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
Profitability Metrics
- - - - - - - - -
Gross Margin
49.85% 47.43% 54.54% 57.72% 52.67% 55.50% 57.78% 58.57% 58.76%
EBITDA Margin
-4.24% 13.12% 27.68% 16.97% -47.07% 12.89% 18.83% 27.79% 23.48%
Operating Margin
-9.93% 7.43% 22.52% 8.23% -58.79% 4.14% 9.78% 18.39% 14.02%
EBIT Margin
-9.93% 7.43% 22.52% 8.23% -58.79% 4.14% 9.78% 18.39% 14.02%
Profit (Net Income) Margin
-16.08% 3.22% 15.28% 5.22% -48.28% 2.54% 5.59% 12.48% 8.69%
Tax Burden Percent
128.22% 64.30% 75.03% 98.27% 77.69% 64.82% 64.61% 71.69% 63.36%
Interest Burden Percent
126.37% 67.44% 90.43% 64.49% 105.70% 94.47% 88.49% 94.65% 97.85%
Effective Tax Rate
0.00% 35.70% 24.97% 1.73% 0.00% 35.18% 35.39% 28.31% 36.64%
Return on Invested Capital (ROIC)
-8.45% 5.17% 19.32% 8.35% -25.60% 1.69% 3.92% 17.55% 0.00%
ROIC Less NNEP Spread (ROIC-NNEP)
-54.07% -2.95% 11.33% -2.41% -40.12% 1.37% 1.83% 11.73% 0.00%
Return on Net Nonoperating Assets (RNNOA)
-17.40% -0.77% 3.41% -0.92% -17.64% 0.56% 0.51% 2.26% 0.00%
Return on Equity (ROE)
-25.85% 4.39% 22.73% 7.43% -43.24% 2.25% 4.43% 19.81% 0.00%
Cash Return on Invested Capital (CROIC)
10.77% 13.73% 16.59% -2.97% 30.84% 0.17% -8.79% -182.45% 0.00%
Operating Return on Assets (OROA)
-6.96% 4.69% 14.80% 4.38% -21.58% 1.84% 4.12% 7.95% 0.00%
Return on Assets (ROA)
-11.28% 2.03% 10.04% 2.77% -17.72% 1.12% 2.36% 5.39% 0.00%
Return on Common Equity (ROCE)
0.00% 2.25% 11.69% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
Return on Equity Simple (ROE_SIMPLE)
-30.94% 4.74% 22.09% 7.19% -60.88% 2.38% 4.55% 10.16% 0.00%
Net Operating Profit after Tax (NOPAT)
-1,049 734 2,825 1,139 -4,593 387 836 1,751 1,055
NOPAT Margin
-6.95% 4.78% 16.90% 8.09% -41.16% 2.69% 6.32% 13.18% 8.88%
Net Nonoperating Expense Percent (NNEP)
45.62% 8.12% 7.99% 10.75% 14.52% 0.32% 2.09% 5.82% 0.00%
Cost of Revenue to Revenue
50.15% 52.57% 45.46% 42.28% 47.33% 44.50% 42.22% 41.43% 41.24%
SG&A Expenses to Revenue
22.28% 20.40% 19.97% 26.24% 26.03% 23.57% 24.08% 22.90% 22.71%
R&D to Revenue
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
Operating Expenses to Revenue
59.78% 40.00% 32.02% 49.49% 111.46% 51.33% 48.00% 40.18% 44.75%
Earnings before Interest and Taxes (EBIT)
-1,498 1,142 3,766 1,159 -6,561 597 1,294 2,442 1,664
Earnings before Interest, Taxes, Depreciation and Amortization (EBITDA)
-640 2,017 4,628 2,390 -5,252 1,857 2,491 3,690 2,788
Valuation Ratios
- - - - - - - - -
Price to Book Value (P/BV)
0.00 0.00 1.11 0.00 0.00 0.00 0.00 0.00 0.00
Price to Tangible Book Value (P/TBV)
0.00 0.00 1.13 0.00 0.00 0.00 0.00 0.00 0.00
Price to Revenue (P/Rev)
0.32 0.48 0.77 0.60 0.38 0.98 0.00 0.00 0.00
Price to Earnings (P/E)
0.00 15.94 5.38 13.52 0.00 58.78 0.00 0.00 0.00
Dividend Yield
8.29% 10.61% 0.00% 0.00% 0.00% 4.24% 4.62% 6.25% 5.81%
Earnings Yield
0.00% 6.27% 18.59% 7.40% 0.00% 1.70% 0.00% 0.00% 0.00%
Enterprise Value to Invested Capital (EV/IC)
0.74 0.78 1.09 0.92 1.00 0.95 0.00 0.00 0.00
Enterprise Value to Revenue (EV/Rev)
0.55 0.69 0.96 0.94 1.16 1.52 0.00 0.00 0.00
Enterprise Value to EBITDA (EV/EBITDA)
0.00 5.26 3.48 5.52 0.00 11.78 0.00 0.00 0.00
Enterprise Value to EBIT (EV/EBIT)
0.00 9.29 4.28 11.39 0.00 36.66 0.00 0.00 0.00
Enterprise Value to NOPAT (EV/NOPAT)
0.00 14.45 5.71 11.59 0.00 56.56 0.00 0.00 0.00
Enterprise Value to Operating Cash Flow (EV/OCF)
5.06 5.65 6.53 5.56 7.41 9.68 0.00 0.00 0.00
Enterprise Value to Free Cash Flow (EV/FCFF)
6.18 5.44 6.65 0.00 2.33 548.50 0.00 0.00 0.00
Leverage & Solvency
- - - - - - - - -
Debt to Equity
0.81 0.63 0.55 0.69 1.22 0.59 0.49 0.39 0.00
Long-Term Debt to Equity
0.79 0.41 0.43 0.64 0.95 0.57 0.42 0.34 0.00
Financial Leverage
0.32 0.26 0.30 0.38 0.44 0.41 0.28 0.19 0.00
Leverage Ratio
2.29 2.16 2.26 2.68 2.44 2.00 1.88 1.84 0.00
Compound Leverage Factor
2.90 1.46 2.05 1.73 2.58 1.89 1.66 1.74 0.00
Debt to Total Capital
44.84% 38.48% 35.58% 40.66% 55.05% 37.02% 32.76% 27.89% 0.00%
Short-Term Debt to Total Capital
1.48% 13.35% 8.06% 2.86% 12.53% 1.07% 4.33% 3.23% 0.00%
Long-Term Debt to Total Capital
43.37% 25.13% 27.51% 37.80% 42.52% 35.95% 28.44% 24.67% 0.00%
Preferred Equity to Total Capital
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
Noncontrolling Interests to Total Capital
1.65% 1.41% 1.53% 2.33% 1.42% 1.66% 1.65% 1.83% 0.00%
Common Equity to Total Capital
0.00% 0.00% 62.90% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
Debt to EBITDA
-10.28 3.32 1.41 3.05 -2.13 5.00 3.26 1.75 0.00
Net Debt to EBITDA
-4.91 1.45 0.65 1.79 -1.59 3.97 2.41 0.87 0.00
Long-Term Debt to EBITDA
-9.94 2.17 1.09 2.84 -1.65 4.85 2.83 1.55 0.00
Debt to NOPAT
-6.27 9.11 2.32 6.40 -2.44 23.99 9.72 3.70 0.00
Net Debt to NOPAT
-2.99 3.99 1.06 3.75 -1.82 19.05 7.17 1.84 0.00
Long-Term Debt to NOPAT
-6.06 5.95 1.79 5.95 -1.88 23.29 8.43 3.27 0.00
Altman Z-Score
0.99 1.28 1.80 1.20 -0.22 1.06 0.00 0.00 0.00
Noncontrolling Interest Sharing Ratio
100.00% 48.69% 48.56% 100.00% 100.00% 100.00% 100.00% 100.00% 0.00%
Liquidity Ratios
- - - - - - - - -
Current Ratio
2.32 1.32 1.44 1.76 1.07 1.55 1.36 1.69 0.00
Quick Ratio
1.50 0.88 0.98 1.15 0.68 0.91 0.78 1.06 0.00
Cash Flow Metrics
- - - - - - - - -
Free Cash Flow to Firm (FCFF)
1,336 1,951 2,425 -405 5,533 40 -1,872 -18,199 0.00
Operating Cash Flow to CapEx
98.19% 120.29% 272.24% 0.00% 78.96% 56.87% 47.84% 49.07% 48.53%
Free Cash Flow to Firm to Interest Expense
2.34 3.97 5.74 -0.86 12.92 0.45 -6.83 -72.37 0.00
Operating Cash Flow to Interest Expense
2.85 3.83 5.84 5.04 4.07 25.49 6.82 8.42 14.50
Operating Cash Flow Less CapEx to Interest Expense
-0.05 0.65 3.69 8.74 -1.08 -19.33 -7.43 -8.74 -15.38
Efficiency Ratios
- - - - - - - - -
Asset Turnover
0.70 0.63 0.66 0.53 0.37 0.44 0.42 0.43 0.00
Accounts Receivable Turnover
7.72 6.45 6.66 7.76 6.39 6.88 6.16 6.24 0.00
Inventory Turnover
3.38 3.40 3.31 3.22 2.83 3.02 2.73 2.82 0.00
Fixed Asset Turnover
1.44 1.20 1.22 1.04 0.58 0.77 1.08 1.09 0.00
Accounts Payable Turnover
3.03 2.76 2.60 2.56 2.16 2.33 2.03 1.96 0.00
Days Sales Outstanding (DSO)
47.27 56.59 54.78 47.02 57.12 53.08 59.28 58.52 0.00
Days Inventory Outstanding (DIO)
107.87 107.49 110.31 113.53 128.76 120.68 133.83 129.65 0.00
Days Payable Outstanding (DPO)
120.55 132.29 140.22 142.63 168.88 156.62 180.14 185.98 0.00
Cash Conversion Cycle (CCC)
34.59 31.79 24.86 17.92 17.01 17.13 12.97 2.18 0.00
Capital & Investment Metrics
- - - - - - - - -
Invested Capital
11,220 13,605 14,822 14,422 12,878 23,004 22,657 19,950 0.00
Invested Capital Turnover
1.22 1.08 1.14 1.03 0.62 0.63 0.62 1.33 0.00
Increase / (Decrease) in Invested Capital
-2,385 -1,217 400 1,544 -10,126 347 2,707 19,950 0.00
Enterprise Value (EV)
8,256 10,614 16,121 13,202 12,917 21,874 0.00 0.00 0.00
Market Capitalization
4,875 7,441 12,847 8,515 4,273 14,091 0.00 0.00 0.00
Book Value per Share
$0.00 $0.00 $18.23 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00
Tangible Book Value per Share
($0.21) ($0.27) $17.94 ($0.27) ($0.26) ($0.37) ($0.30) $0.00 $0.00
Total Capital
14,663 17,384 18,386 17,923 20,335 25,059 24,782 23,203 0.00
Total Debt
6,576 6,690 6,541 7,288 11,195 9,276 8,120 6,472 0.00
Total Long-Term Debt
6,359 4,368 5,058 6,776 8,647 9,009 7,047 5,724 0.00
Net Debt
3,138 2,928 2,994 4,269 8,354 7,367 5,995 3,218 0.00
Capital Expenditures (CapEx)
1,662 1,563 906 -1,744 2,207 3,973 3,905 4,315 4,802
Debt-free, Cash-free Net Working Capital (DFCFNWC)
1,684 1,167 1,302 1,171 870 1,044 1,370 1,236 0.00
Debt-free Net Working Capital (DFNWC)
4,174 4,029 3,947 3,349 2,907 2,167 2,625 3,504 0.00
Net Working Capital (NWC)
3,957 1,707 2,464 2,837 358 1,899 1,553 2,756 0.00
Net Nonoperating Expense (NNE)
1,379 239 270 405 795 21 96 94 23
Net Nonoperating Obligations (NNO)
3,133 2,911 2,977 3,786 3,738 7,221 5,995 3,218 0.00
Total Depreciation and Amortization (D&A)
858 875 863 1,231 1,309 1,260 1,197 1,248 1,124
Debt-free, Cash-free Net Working Capital to Revenue
11.16% 7.59% 7.79% 8.31% 7.80% 7.25% 10.36% 9.31% 0.00%
Debt-free Net Working Capital to Revenue
27.65% 26.21% 23.60% 23.78% 26.05% 15.05% 19.84% 26.39% 0.00%
Net Working Capital to Revenue
26.22% 11.11% 14.74% 20.15% 3.21% 13.19% 11.74% 20.75% 0.00%
Earnings Adjustments
- - - - - - - - -
Adjusted Basic Earnings per Share
($3.84) $14.00 $62.34 $14.57 ($147.45) $6.97 $14.26 $0.00 $0.00
Adjusted Weighted Average Basic Shares Outstanding
648.48M 640.67M 635.68M 634.24M 632.37M 631.03M 645.56M 0.00 0.00
Adjusted Diluted Earnings per Share
($3.84) $13.02 $61.36 $14.39 ($147.45) $6.93 $14.18 $0.00 $0.00
Adjusted Weighted Average Diluted Shares Outstanding
648.48M 640.67M 635.68M 634.24M 632.37M 631.03M 645.56M 0.00 0.00
Adjusted Basic & Diluted Earnings per Share
$0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00
Adjusted Weighted Average Basic & Diluted Shares Outstanding
648.48M 640.67M 635.68M 634.24M 632.37M 631.03M 645.56M 0.00 0.00
Normalized Net Operating Profit after Tax (NOPAT)
-1,049 734 2,825 1,139 -4,593 387 836 1,751 1,055
Normalized NOPAT Margin
-6.95% 4.78% 16.90% 8.09% -41.16% 2.69% 6.32% 13.18% 8.88%
Pre Tax Income Margin
-12.54% 5.01% 20.36% 5.31% -62.15% 3.91% 8.65% 17.41% 13.71%
Debt Service Ratios
- - - - - - - - -
EBIT to Interest Expense
-2.62 2.32 8.91 2.46 -15.33 6.73 4.72 9.71 10.36
NOPAT to Interest Expense
-1.83 1.49 6.68 2.42 -10.73 4.36 3.05 6.96 6.56
EBIT Less CapEx to Interest Expense
-5.52 -0.86 6.76 6.16 -20.48 -38.10 -9.53 -7.45 -19.53
NOPAT Less CapEx to Interest Expense
-4.74 -1.69 4.54 6.12 -15.88 -40.46 -11.20 -10.20 -23.32
Payout Ratios
- - - - - - - - -
Dividend Payout Ratio
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 8.62%
Augmented Payout Ratio
0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 8.62%

Quarterly Metrics And Ratios for Sasol

No quarterly metrics and ratios for Sasol are available.


Frequently Asked Questions About Sasol's Financials

When does Sasol's fiscal year end?

According to the most recent income statement we have on file, Sasol's financial year ends in June. Their financial year 2024 ended on June 30, 2024.

How has Sasol's net income changed over the last 8 years?

Sasol's net income appears to be on an upward trend, with a most recent value of -$2.43 billion in 2024, falling from $1.03 billion in 2016. The previous period was $495.27 million in 2023.

What is Sasol's operating income?
Sasol's total operating income in 2024 was -$1.50 billion, based on the following breakdown:
  • Total Gross Profit: $7.52 billion
  • Total Operating Expenses: $9.02 billion
How has Sasol revenue changed over the last 8 years?

Over the last 8 years, Sasol's total revenue changed from $11.88 billion in 2016 to $15.09 billion in 2024, a change of 27.1%.

How much debt does Sasol have?

Sasol's total liabilities were at $11.93 billion at the end of 2024, a 3.2% decrease from 2023, and a 14.7% decrease since 2017.

How much cash does Sasol have?

In the past 7 years, Sasol's cash and equivalents has ranged from $1.12 billion in 2019 to $2.86 billion in 2023, and is currently $2.49 billion as of their latest financial filing in 2024.

How has Sasol's book value per share changed over the last 8 years?

Over the last 8 years, Sasol's book value per share changed from 0.00 in 2016 to 0.00 in 2024, a change of 0.0%.



This page (OTCMKTS:SASOF) was last updated on 5/30/2025 by MarketBeat.com Staff
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