Financial Performance Overview slide image

Financial Performance Overview

Free Cash Flow Reconciliation - TTM MM Operating Cash Flow Purchases of property and equipment, net of proceeds from sales and incentives Free Cash Flow Q1 2022 Q2 2022 Q3 2022 Q4 2022 $39,324 $35,574 $39,665 $46,752 Q1 2023 $54,330 (57,951) (59,061) (59,351) (58,321) (57,649) ($18,627) ($23,487) ($19,686) ($11,569) ($3,319) 17
View entire presentation