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Investor Presentation

Reconciliation of Non-IFRS Financial Measures Reconciliation of Cash flows related to operating activities to Free Cash Flow (In thousands of dollars) LTM Q1-23 2022 2021 2020 2019 2018 Net cash flows related to operating activities 34,243 26,914 29,996 37,025 20,181 11,937 Acquisition (net of disposals) of property, plant and equipment (6,108) (2,180) (3,304) (2,117) (5,519) (4,011) Acquisition of intangible assets (267) (372) (550) (460) (565) (344) Free Cash Flow 27,868 24,362 26,142 34,448 14,097 7,582 55
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