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Long-term debt - Contract Amounts (Details)
$ / shares in Units, R in Millions, $ in Millions
1 Months Ended
Jun. 30, 2025
ZAR (R)
Jun. 30, 2024
ZAR (R)
Jun. 30, 2025
ZAR (R)
Jun. 30, 2025
USD ($)
Oct. 31, 2024
ZAR (R)
Oct. 31, 2024
USD ($)
Jun. 30, 2025
USD ($)
$ / shares
Jun. 30, 2024
$ / shares
Nov. 30, 2022
$ / shares
Nov. 08, 2022
USD ($)
Long-term debt                    
Available facilities R 44,410   R 44,410              
Available cash excluding restricted cash 38,422   38,422              
Total funds available for use 82,832   82,832              
Utilised facilities 103,723 R 118,784 103,723              
Interest accrued on borrowings 1,505 1,551 1,505              
Unamortised loan costs (392) (528) (392)              
Cumulative fair value gains and foreign exchange movements on convertible bond and embedded derivative financial liability (1,517) (2,030) (1,517)              
Total debt (including bank overdraft) 103,319 117,777 103,319              
Long-term debt 88,554 103,871 [1] 88,554              
Short-term debt 14,757 13,726 14,757              
Short-term debt 666 566 666              
Short-term portion 14,091 13,160 14,091              
Bank overdraft 1 121 1              
Convertible bond derivative financial liability R 7 R 59 7              
Sasol Financing USA LLC                    
Long-term debt                    
Proportion of ownership interest in subsidiary 100.00% 100.00%                
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              
Available facilities 10,566   10,566              
Utilised facilities R 4,434 R 4,434 R 4,434              
Group treasury facilities | Commercial paper | Variable | 3 month Jibar | Minimum                    
Long-term debt                    
Adjustment to interest rate basis 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%      
Group treasury facilities | Commercial banking facilities                    
Long-term debt                    
Contract amount R 7,450   R 7,450              
Available facilities 7,450   7,450              
Group treasury facilities | Revolving credit facility                    
Long-term debt                    
Contract amount 35,269   35,269       $ 1,987      
Available facilities 26,394   26,394              
Utilised facilities R 8,875 21,831 8,875              
Amount repaid     R 7,100 $ 400 R 5,400 $ 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%      
Debt arrangements | Term loan                    
Long-term debt                    
Contract amount R 17,439   R 17,439       $ 982      
Utilised facilities R 17,439 17,874 R 17,439              
Debt arrangements | Term loan | Variable | SOFR + Credit Adj                    
Long-term debt                    
Adjustment to interest rate basis 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 57,700   R 57,700       $ 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%      
Debt arrangements | US Dollar Bond | Fixed interest rates | Maximum | Sasol Financing USA LLC                    
Long-term debt                    
Interest rate 8.75%   8.75%       8.75%      
Debt arrangements | US Dollar Bond September 2026                    
Long-term debt                    
Contract amount R 11,538   R 11,538       $ 650      
Utilised facilities R 11,538 11,825 R 11,538              
Debt arrangements | US Dollar Bond September 2026 | Fixed interest rates                    
Long-term debt                    
Interest rate 4.38%   4.38%       4.38%      
Debt arrangements | US Dollar Convertible Bond, November 2027                    
Long-term debt                    
Contract amount R 13,313   R 13,313       $ 750      
Utilised facilities R 13,313 13,644 R 13,313              
Conversion price | $ / shares             $ 18.79 $ 18.79 $ 20.39  
Effective interest rate for bond component 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%      
Debt arrangements | US Dollar Bond September 2028                    
Long-term debt                    
Contract amount R 13,313   R 13,313       $ 750      
Utilised facilities R 13,313 13,644 R 13,313              
Debt arrangements | US Dollar Bond September 2028 | Fixed interest rates                    
Long-term debt                    
Interest rate 6.50%   6.50%       6.50%      
Debt arrangements | US Dollar Bond, May 2029                    
Long-term debt                    
Contract amount R 17,750   R 17,750       $ 1,000      
Utilised facilities R 17,750 18,193 R 17,750              
Debt arrangements | US Dollar Bond, May 2029 | Fixed interest rates                    
Long-term debt                    
Interest rate 8.75%   8.75%       8.75%      
Debt arrangements | US Dollar Bond March 2031                    
Long-term debt                    
Contract amount R 15,088   R 15,088       $ 850      
Utilised facilities R 15,088 15,464 R 15,088              
Debt arrangements | US Dollar Bond March 2031 | Fixed interest rates                    
Long-term debt                    
Interest rate 5.50%   5.50%       5.50%      
Specific project asset finance | Energy - Clean Fuels II project financing                    
Long-term debt                    
Contract amount R 1,266   R 1,266              
Utilised facilities 1,266 966 1,266              
Other debt arrangements                    
Long-term debt                    
Utilised facilities R 707 R 909 R 707              
[1] Prior year numbers have been reclassified on adoption of the amendments to IAS 1, refer note 1.