Investor Presentation 2023 slide image

Investor Presentation 2023

LIQUIDITY, CASH FLOW AND CAPITAL DEPLOYMENT CAPITAL POSITION PROVEN RECORD OF CASH GENERATION DISCIPLINED CAPITAL DEPLOYMENT M&A flexibility Quarterly dividend Cash Position 4-year4 avg. $57.3M Net Cash Position 1,2 +50% operating cash flow of Adj. EBITDA $49.0M³ 3 Prudent management of capital expenditures at a range of 3-5% of sales since 2016 1. As of June 30, 2023 2. Cash position - Cash and cash equivalents and short-term bank deposits and marketable securities 3. Net cash position - Cash and cash equivalents and short-term bank deposits and marketable securities less debt from financial institutions 4. 2019-2022 Investor Presentation 2023 policy aligned with profits caesarstone 19
View entire presentation