Sasol Limited (SSL) generated $38.31B in operating cash flow for fiscal year 2025. After capital expenditures of $25.41B, free cash flow was $12.9B.
Free cash flow margin was 5.2% of revenue. Cash conversion ratio was 2.04x, indicating earnings are backed by cash.
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Overall SharesGrow Score: 49/100 with 0/7 criteria passed.