Annual Financial Statements for the year ended 30 June 2021 0 - Book - Page 98
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2
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SASOL LIMITED GROUP
Investing activities (continued)
20 Property, plant and equipment continued
Land
Building
and
improvements
Rm
Rm
Plant,
equipment
and vehicles
Restated
Rm
4 202
15 434
185 235
–
–
for the year ended 30 June
Carrying amount at
30 June 2019
Impact of correction of error
(refer note 1)
Restated carrying amount
at 1 July 2019
4 202
Transfer of finance lease assets
to right of use assets on initial
application of IFRS 16
Adjusted carrying amount
at 1 July 2019
Additions
(6)
4 196
34
to sustain existing operations
to expand operations
Net reclassification (to)/from
other assets
Reduction in rehabilitation
provisions capitalised (note 33)
Finance costs capitalised
Projects capitalised
Reclassification to held for sale
(note 12)
Translation of foreign operations
Disposals and scrapping
Current year depreciation charge
(restated)
Net impairment of property,
plant and equipment (restated)
(note 10)
Restated carrying amount
at 30 June 2020
15 434
(3 731)
181 504
(1 475)
13 959
(5 936)
Mineral
assets
Assets
under
construction
Rm
Rm
Total
Restated
Rm
28 678
127 764
361 313
–
–
28 678
127 764
–
(71)
(3 731)
357 582
(7 488)
59
175 568
1 039
28 678
1 230
127 693
35 730
350 094
38 092
34
–
42
17
825
214
1 230
–
19 017
16 713
21 148
16 944
(11)
(295)
447
(4)
(17)
120
–
–
920
–
–
3 035
(23)
–
120 616
(160)
–
3 378
–
3 520
(128 492)
(183)
3 520
(543)
(112)
842
(268)
(2 350)
2 091
(6)
(61 754)
23 761
(484)
–
230
(18)
(9 497)
12 876
(655)
(73 713)
39 800
(1 431)
(720)
(15 568)
(3 291)
(3 819)
(91 347)
–
(10)
5 591
11 954
152 255
–
30 043
–
(19 579)
(13 356)
(108 532)
27 802
227 645
Up to and including financial year 2019, Sasol recognised lease assets that were classified as finance leases under IAS 17 Leases as
part of Property, Plant and Equipment. From financial year 2020 assets recognised under IFRS 16 Leases are disclosed separately in
note 18, Leases.
for the year ended 30 June
2021
Cost
Accumulated depreciation
and impairment
Plant,
equipment
and vehicles
Rm
Mineral
assets
Rm
Assets
under
construction
Rm
Total
Rm
20 462
334 432
47 606
26 134
432 779
(8 908)
(205 446)
(20 130)
11 554
128 986
27 476
26 134
198 021
21 418
325 837
84 822
27 802
465 723
(9 464)
(173 582)
(54 779)
5 591
11 954
152 255
30 043
27 802
227 645
4 403
23 034
316 548
74 769
127 764
546 518
(7 600)
(135 044)
(46 091)
15 434
181 504
28 678
Land
Rm
4 145
(274)
3 871
2020
Cost
Accumulated depreciation and
impairment (restated)
2019
Cost
Accumulated depreciation and
impairment (restated)
5 844
(253)
(201)
4 202
96
Building
and
improvements
Rm
Sasol Annual Financial Statements 2021
–
–
–
127 764
(234 758)
(238 078)
(188 936)
357 582