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Long-term debt - Contract Amounts (Details)
$ / shares in Units, R in Millions, $ in Millions
1 Months Ended 2 Months Ended 12 Months Ended
Jun. 30, 2024
ZAR (R)
Jun. 30, 2023
ZAR (R)
Mar. 31, 2024
ZAR (R)
Mar. 31, 2024
USD ($)
Oct. 31, 2023
ZAR (R)
Oct. 31, 2022
ZAR (R)
Jun. 30, 2024
ZAR (R)
Jun. 30, 2024
USD ($)
Jun. 30, 2024
ZAR (R)
Jun. 30, 2024
USD ($)
$ / shares
Jun. 30, 2023
USD ($)
$ / shares
Nov. 30, 2022
$ / shares
Nov. 08, 2022
USD ($)
Long-term debt                          
Available facilities R 33,033           R 33,033   R 33,033        
Available cash excluding restricted cash 42,846           42,846   42,846        
Total funds available for use 75,879           75,879   75,879        
Utilised facilities 118,784 R 125,505         118,784   118,784        
Interest accrued on borrowings 1,551 1,673         1,551   1,551        
Unamortised loan costs (528) (703)         (528)   (528)        
Cumulative fair value gains and foreign exchange movements on convertible bond embedded derivative financial liability (2,030) (867)         (2,030)   (2,030)        
Total debt (including bank overdraft) 117,777 125,608         117,777   117,777        
Long-term debt 115,913 82,319 [1]         115,913   115,913        
Short-term debt 1,684 41,828         1,684   1,684        
Short-term debt 566 79         566   566        
Short-term portion 1,118 41,749         1,118   1,118        
Bank overdraft 121 159         121   121        
Convertible bond derivative financial liability 59 1,302         59   59        
Short-term debt R 3,948 43,743 [1]         3,948   3,948        
Revision                          
Long-term debt                          
Long-term debt   (11,985)                      
Short-term debt   R 11,985                      
Sasol Financing USA LLC                          
Long-term debt                          
Proportion of ownership interest in subsidiary 100.00% 100.00%                      
Commercial paper                          
Long-term debt                          
Contract amount         R 15,000                
US Dollar Bond, March 2024                          
Long-term debt                          
Short-term portion   R 28,000                 $ 1,500    
Amount settled                 1,500        
US Dollar Convertible Bond, November 2027                          
Long-term debt                          
Contract amount | $                         $ 750
Group treasury facilities | Commercial paper                          
Long-term debt                          
Contract amount R 15,000           15,000   15,000        
Available facilities 10,566           10,566   10,566        
Utilised facilities R 4,434 2,066         R 4,434   R 4,434        
Amount of tranche issued         R 2,368 R 2,066              
Group treasury facilities | Commercial paper | Variable | 3 month Jibar | Minimum                          
Long-term debt                          
Adjustment to interest rate basis 1.42%           1.42%   1.42% 1.42%      
Group treasury facilities | Commercial paper | Variable | 3 month Jibar | Maximum                          
Long-term debt                          
Adjustment to interest rate basis 1.59%           1.59%   1.59% 1.59%      
Group treasury facilities | Commercial banking facilities                          
Long-term debt                          
Contract amount R 8,150           R 8,150   R 8,150        
Available facilities 8,150           8,150   8,150        
Group treasury facilities | Revolving credit facility                          
Long-term debt                          
Contract amount 36,148           36,148   36,148 $ 1,987      
Available facilities 14,317           14,317   14,317        
Utilised facilities R 21,831           21,831   R 21,831        
Amount drawn     R 27,000 $ 1,500                  
Amount settled             R 5,500 $ 300          
Group treasury facilities | Revolving credit facility | Variable | SOFR + Credit Adj                          
Long-term debt                          
Adjustment to interest rate basis 1.45%           1.45%   1.45% 1.45%      
Debt arrangements | Term loan                          
Long-term debt                          
Contract amount R 17,874           R 17,874   R 17,874 $ 982      
Utilised facilities R 17,874 18,499         R 17,874   R 17,874        
Debt arrangements | Term loan | Variable | SOFR + Credit Adj                          
Long-term debt                          
Adjustment to interest rate basis 1.65%           1.65%   1.65% 1.65%      
Debt arrangements | US Dollar Bond | Sasol Financing USA LLC                          
Long-term debt                          
Long-term debt, before unamortised costs R 59,100           R 59,100   R 59,100 $ 3,250      
Debt arrangements | US Dollar Bond | Fixed interest rates | Minimum | Sasol Financing USA LLC                          
Long-term debt                          
Interest rate 4.38%           4.38%   4.38% 4.38%      
Debt arrangements | US Dollar Bond | Fixed interest rates | Maximum | Sasol Financing USA LLC                          
Long-term debt                          
Interest rate 8.75%           8.75%   8.75% 8.75%      
Debt arrangements | US Dollar Bond, March 2024                          
Long-term debt                          
Utilised facilities   R 28,245                      
Debt arrangements | US Dollar Bond, March 2024 | Fixed interest rates                          
Long-term debt                          
Interest rate   5.88%                 5.88%    
Debt arrangements | US Dollar Bond September 2026                          
Long-term debt                          
Contract amount R 11,825           R 11,825   R 11,825 $ 650      
Utilised facilities R 11,825 R 12,240         R 11,825   R 11,825        
Debt arrangements | US Dollar Bond September 2026 | Fixed interest rates                          
Long-term debt                          
Interest rate 4.38%           4.38%   4.38% 4.38%      
Debt arrangements | US Dollar Convertible Bond, November 2027                          
Long-term debt                          
Contract amount R 13,644           R 13,644   R 13,644 $ 750      
Utilised facilities R 13,644 14,123         R 13,644   R 13,644        
Conversion price | $ / shares                   $ 18.79 $ 19.86 $ 20.39  
Effective interest rate for bond component 8.50%           8.50%   8.50% 8.50%      
Debt arrangements | US Dollar Convertible Bond, November 2027 | Fixed interest rates                          
Long-term debt                          
Interest rate 4.50%           4.50%   4.50% 4.50%      
Debt arrangements | US Dollar Bond September 2028                          
Long-term debt                          
Contract amount R 13,644           R 13,644   R 13,644 $ 750      
Utilised facilities R 13,644 14,123         R 13,644   R 13,644        
Debt arrangements | US Dollar Bond September 2028 | Fixed interest rates                          
Long-term debt                          
Interest rate 6.50%           6.50%   6.50% 6.50%      
Debt arrangements | US Dollar Bond, May 2029                          
Long-term debt                          
Contract amount R 18,193           R 18,193   R 18,193 $ 1,000      
Utilised facilities R 18,193 18,830         R 18,193   R 18,193        
Debt arrangements | US Dollar Bond, May 2029 | Fixed interest rates                          
Long-term debt                          
Interest rate 8.75%           8.75%   8.75% 8.75%      
Debt arrangements | US Dollar Bond March 2031                          
Long-term debt                          
Contract amount R 15,464           R 15,464   R 15,464 $ 850      
Utilised facilities R 15,464 16,006         R 15,464   R 15,464        
Debt arrangements | US Dollar Bond March 2031 | Fixed interest rates                          
Long-term debt                          
Interest rate 5.50%           5.50%   5.50% 5.50%      
Specific project asset finance | Energy - Clean Fuels II project financing                          
Long-term debt                          
Contract amount R 966           R 966   R 966        
Utilised facilities 966 901         966   966        
Other debt arrangements                          
Long-term debt                          
Utilised facilities R 909 R 472         R 909   R 909        
[1] The Group has revised long-term debt and short-term debt by R11 985 million as well as long-term financial liabilities and short-term financial liabilities by R1 302 million for 2023, refer note 1.1.