Companies: 10,795·Total market cap: $144.5T
Sasol Limited

Sasol Limited

SSLNYSEBasic Materials● Active
$13.45
$-0.02(-0.15%)
Market Cap$8.6B
P/E Ratio
52W High$14.37
52W Low$4.3
Overview

Sasol Limited (SSL) · Cash Flow

Annual, quarterly, or TTM views · SEC 10-K & 10-Q via FMP · adjust period and M/B/T below.

FMP · SSL · as of 2026-06-10

Financial statements

Operating CF · CapEx · Free Cash Flow
Breakdown2025-062024-062023-062022-062021-06
Operating Activities
Net Income$18.82B($44.27B)$8.80B$38.96B$9.03B
Depreciation & Amort.$14.00B$15.64B$17.39B$14.07B$17.65B
Stock-Based Comp.$0.91B$0.99B$1.03B$1.16B$1.93B
Change in Working Capital$1.28B($3.15B)$10.91B($21.70B)($12.07B)
Net Cash from Operations$38.31B$37.38B$49.18B$40.30B$34.09B
Investing Activities
Capital Expenditure($25.41B)($30.16B)($30.73B)($23.14B)($16.37B)
Purchases of Investments($1.05B)$0.00B$0.00B$0.00B$0.00B
Sales of Investments$0.95B$0.00B$0.00B$0.00B$0.00B
Net Cash from Investing($25.89B)($30.66B)($28.23B)($15.08B)$25.09B
Financing Activities
Common Stock Repurchased$0.00B$0.00B$0.00B$0.00B$0.00B
Dividends Paid$0.00B($7.63B)($13.75B)($0.05B)($0.05B)
Debt Issued / Repaid($16.61B)($7.47B)($14.97B)($38.56B)$6.09B
Net Cash from Financing($16.61B)($14.60B)($12.57B)($15.00B)($58.31B)
Free Cash Flow
Free Cash Flow$12.89B$7.31B$18.45B$17.16B$17.72B
FCF Margin %(computed)5.18%2.66%6.37%6.29%8.77%

Data source: Financial Modeling Prep · Last updated: 2026-06-10 · ZAR · B

Explore more Sasol Limited data

About Sasol Limited (SSL) Cash Flow Statement

Sasol Limited generated operating cash flow of $38.31B and free cash flow of $12.89B for 2025 — a FCF margin of 5.18%. Capital expenditure was ($25.41B).

Frequently asked questions

SSL · 4 questions

Sasol Limited generated free cash flow of $12.89B for 2025, up 76.4% year-over-year.

SSL free cash flowFCF margincash flow yield

· Source: FMP /stable/cash-flow-statement · SEC EDGAR Form 10-K & 10-Q · As of 2026-06-10