Palantir Results Presentation Deck slide image

Palantir Results Presentation Deck

Q2 Financials We ended Q2 2023 with $3.1B in cash, cash equivalents, and short-term US treasury securities and no debt. Ⓒ2023 Palantir Technologies Inc. Cash from Operations and Adjusted Free Cash Flow $100M $75M $50M CASH FROM OPERATIONS $62M Q2 2022 $90M Q2 2023 ADJUSTED FREE CASH FLOW $61M Q2 2022 $96M Q2 2023
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