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Investor Presentation

Healthy Cash Flow Generation Cash flow related to operating activities (M$) Free cash flow(1) (M$) Highlights $7.5 $0.2 Q1-22 Q1-23 $3.4 (+) Higher net earnings (+) Lower working capital requirements (-) Higher capital expenditures -$0.1 Q1-22 Q1-23 (1) This is a non-IFRS financial measure. Non-IFRS financial measures do not have any standardized meaning prescribed by IFRS and therefore may not be comparable to similar measures presented by other companies. Refer to the Non-IFRS Financial Measures section at the end of this presentation for further details. 43
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