Inovalon Results Presentation Deck slide image

Inovalon Results Presentation Deck

Cash Flow From Operations The following full-year Cash Flow From Operations actual and guidance through 2020 is being provided as of October 30, 2019. 11% 2016-2020G CAGR $93 22% $98 2016 22% $1041 $90 17% $130-$145 2018 % of Revenue 21% 2019G $145-$160 2017 Note: CAGR calculations undertaken to the mid-point of 2020 Guidance. All numbers in millions. Graphic drawn at midpoint of guidance range. ¹ Net cash provided by operating activities was $90.4M in 2018. Incorporated within this number was the negative impact of acquisition-related transaction cash outflows of $6.6M and integration cash outflows of $6.8M. Normalizing for these one-time items, the non-GAAP cash flow from operations would have been $104 million as represented by the green dotted line. INOV Q3 2019 Earnings Supplement (10.30.19) v1.0.2 22% 2020G 23 ISBN
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