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Sonos Results Presentation Deck

Reconciliation of Cash Flows Provided by Operating Activities to Free Cash Flow Cash flows provided by operating activities Less: Purchases of property and equipment, intangible and other assets Free cash flow Note: $ in thousands, unaudited. Three Months Ended January 1, 2022 $179,934 (6,355) $173,579 January 2, 2021 $214,513 (11,333) $203,180
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