Lyft Results Presentation Deck slide image

Lyft Results Presentation Deck

Condensed Consolidated Statement of Cash Flows (cont.) ($ in millions) Net cash provided by (used in) operating activities Net cash provided by (used in) investing activities Net cash provided by (used in) financing activities Effect of foreign exchange on cash, cash equivalents and restricted cash and cash equivalents Net increase (decrease) in cash and cash equivalents and restricted. cash and cash equivalents Cash and cash equivalents and restricted cash and cash equivalents Beginning of period End of period Reconciliation of cash, cash equivalents and restricted cash and cash equivalents to the condensed consolidated balance sheets Cash and cash equivalents Restricted cash and cash equivalents Restricted cash, incl. in prepaid expenses and other current assets Total cash, cash equivalents and restricted cash and cash equivalents Note: Q1 $ (206.9) $ 787.7 (16.8) $ $ (0.1) 563.9 $ 597.9 529.1 1.4 $ 1,128.4 Q2 (751.7) 92.9 584.8 (0.4) (74.4) Due to rounding, numbers presented may not add up precisely to the totals provided. 564.5 1,128.4 1,128.4 $ 1,054.0 $ 841.1 210.3 2.6 $ 1,054.0 Fiscal 2020 Q3 Q4 $ (155.7) $ (264.6) (325.6) (32.0) 185.4 (23.4) $ $ 0.2 $ (513.1) 1,054.0 540.9 424.8 115.2 0.9 540.9 0.2 $ (102.4) Total $ (1,378.9) 740.4 512.6 540.9 $ 438.5 $ 319.7 118.6 0.2 $ 438.5 $ (0.1) (126.0) 319.7 118.6 0.2 $ 564.5 438.5 $ 438.5 $ Q1 (79.5) $ 161.1 (24.3) 57.4 $ 438.5 495.9 $ 312.2 183.6 0.1 $ 495.9 $ Q2 (37.5) $ 180.6 (9.7) 133.3 Fiscal 2021 484.2 144.6 0.5 495.9 629.2 $ 629.2 $ (0.2) $ Q3 41.5 $ 231.0 (29.1) $ 243.2 629.2 872.4 728.4 143.8 0.2 872.4 $ $ Q4 (26.2) $ (305.7) (9.3) (341.2) 872.4 531.2 457.3 73.2 0.7 531.2 $ $ Total (101.7) 267.0 (72.5) (0.1) 92.7 438.5 531.2 457.3 73.2 0.7 531.2 14
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