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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 16
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