Investor Presentaiton
Positioned for Long-Term Growth
With continued focus on organic growth and M&A, and margin performance above that of many of
our peers, our financial framework aims to create long-term shareholder value
Cumulative Returns to Stockholders
$ 300
FEDERAL SIGNAL
+ 144%
$ 250
RUSSELL 2000
+22%
$ 200
S&P MIDCAP 400
+38%
$ 150
S&P INDUSTRIALS
+43%
$ 100
S&P 600 CAPITAL GOODS
+ 54%
$ 50
2017
2018
2019
2020
2021
This graph assumes that the value of the investment in the Company's common stock, and in each index, was
$100 on December 31, 2017 and assumes reinvestment of all dividends through December 31, 2022.
ד
2022
Long-Term Organic
Revenue Growth
(Couple of % points > GDP)
Value-Added
Acquisitions
High Single Digit Revenue Growth
EBITDA Margin
Targets:
Cash Conversion:
~100% of net income
ESG: 15-18%
SSG: 17-21% (new)
Consolidated: 12-16%
ROIC > Cost of
Capital
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