Roblox Results Presentation Deck slide image

Roblox Results Presentation Deck

Non-GAAP Financial Measures Reconciliation Operating Cash Flow to Free Cash Flow 16 (in thousands, unaudited) Net cash provided by operating activities Add (deduct): Acquisition of property and equipment Purchases of intangible assets Free Cash Flow 3 Months ended 3/31/2021 3/31/2020 $164,469 $43,529 (22,133) (256) $142,080 $34,608 (8,921) 3/31/2019 $25,497 (19,937) $5,560 2020 to 2021 278% YOY % 148% n/a 311% ROBLOX Q1 2021 2019 to 2021 CAGR 154% 5% n/a 406%
View entire presentation