R131.50
+ R0.92 (0.70%)
End-of-day quote: 05/24/2024
JSE:SOL

Sasol Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
R289.70B R272.75B R201.91B R190.37B R203.58B R181.46B R172.41B R172.94B R185.27B R202.68B R169.89B R159.11B R142.44B R122.26B R137.84B R129.94B R98.13B R82.40B R69.24B R45.00B
GM % Gross Margin %
42.22% 49.65% 51.72% 47.15% 50.48% 52.73% 53.55% 53.87% 52.61% 51.89% 50.64% 46.04% 48.79% 29.92% 30.29% 37.23% 32.93% 34.73% 31.62% 33.69%
OM Operating Margin
18.81% 18.45% 13.10% 7.00% 14.07% 15.27% 19.11% 20.56% 26.03% 23.34% 22.54% 20.58% 22.21% 20.17% 21.73% 25.69% 24.87% 25.63% 21.77% 22.60%
EPS Earnings Per Share
R0.00 R53.75 R47.58 R39.53 R-11.79 R30.54 R27.44 R28.04 R33.12 R39.80 R47.71 R42.02 R33.66 R26.98 R21.15 R20.20 R30.05 R20.05 R18.00 R13.75 R7.66
Div. Dividends
R17.00 R14.70 R0.00 R0.00 R5.90 R12.90 R10.08 R11.84 R14.80 R17.20 R15.20 R14.00 R10.40 R8.40 R6.80 R10.40 R7.20 R5.68 R4.32 R3.60
PR % Payout Ratio %
31.63% 30.90% 0.00% -0.00% 19.32% 47.01% 35.95% 35.75% 37.19% 36.05% 36.17% 41.59% 38.55% 39.72% 33.66% 34.61% 35.91% 31.56% 31.42% 47.00%
Sha. Shares
630.29m 631.2m 629.77m 627.89m 626.55m 624.98m 645.47m 645.42m 645.12m 644.58m 642.83m 638.85m 636.62m 633.32m 631.52m 630.16m 612.78m 622.87m 616.77m 611.16m
OCF Operating Cash Flow
R49.18B R40.30B R34.09B R29.76B R41.90B R33.58B R37.11B R44.62B R53.68B R57.22B R47.08B R36.34B R32.43B R20.89B R38.03B R23.72B R20.42B R17.85B R13.80B R10.03B
FCF Free Cash Flow
R19.36B R17.54B R15.89B R-12205.00M R-12363.00M R-19078.00M R-23235.00M R-36474.00M R-4170.00M R5.20B R6.16B R-1136.00M R5.15B R4.83B R22.49B R12.88B R8.40B R4.58B R1.22B R-1120.00M
FCFS Free Cash Flow Per Share
R29.16 R27.26 R28.58 R-8.74 R-22.55 R-32.35 R-38.05 R-47.70 R14.05 R30.29 R27.64 R13.04 R19.76 R8.25 R37.74 R21.49 R13.46 R7.34 R1.92 R-2.27