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Investor Presentaiton

Supplemental Data Free Cash Flow and Adjusted Free Cash Flow Reconciliation ($ in millions) Three Months Ended March 31, 2021 2020 Net cash provided by operating activities Less: Capital expenditures net of proceeds from sale of property, plant and equipment 179.1 $ 139.4 (39.6) Free cash flow 139.5 Cash payments for restructuring and acquisition-related costs 23.4 (69.2) 70.2 13.1 Cash payments related to the Malvern fire net of recoveries 11.2 Adjusted free cash flow $ 174.1 $ 83.3 BRINGING THE FUTURE AAM FASTER 30 30
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