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Investor Presentaiton

Braskem presents consistent operating cash generation, even in periods of down cycles in the petrochemical industry Financial Highlights - Cash Generation Cash Generation (US$ million) 22.8% 18.0% 7.0% -21.7% 216 2020 Source: Braskem. 1,802 654 -709 2021 2022 LTM Free Cash Flow Yield Cash Generation Comments: . • Through its operating activities, Braskem consistently presents positive cash generation, even after the payment of its obligations Currently, the Company's main cash needs are: Working capital needs Debt and debt interest payments CAPEX related to investments in operations, modernization and strategic investments Tax payments PUBLIC Braskem 31
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