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Sasol Ltd (SSL)
NYSE:SSL
US Market
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Sasol (SSL) Cash flow

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Sasol Cash Flow

SSL's free cash flow for Q4 2026 was Rs11.61B. For the 2026 fiscal year, SSL's free cash flow was decreased by Rs-1.13B and operating cash flow was Rs24.89B. See a summary of the company’s cash flow.
Cash Flow
Jun 26Jun 25Jun 24Jun 23Jun 22
Operating Cash Flow
Rs 32.31BRs 38.31BRs 37.38BRs 49.18BRs 40.30B
Investing Cash Flow
Rs -21.24BRs -25.89BRs -30.66BRs -28.23BRs -15.08B
Financing Cash Flow
Rs -7.64BRs -16.61BRs -14.60BRs -12.57BRs -15.00B
End Cash Position
Rs 43.74BRs 41.05BRs 45.26BRs 53.77BRs 42.97B
Free Cash Flow
Rs 11.76BRs 12.89BRs 7.31BRs 18.45BRs 17.16B
Currency in ZAR

Sasol Cash Flow