Circut Results Presentation Deck slide image

Circut Results Presentation Deck

Balance Sheet and Cash Flow highlights Strong balance sheet positions us well to mitigate supply chain risk and continue to invest in future growth cricut. Cash & Cash Equivalents as of 3/31/22 $245.7M Cash & cash equivalents $150M Credit line remains untapped Q1 2022 Financial Results Cash Flow generated from Operations during Q1 3/31/22 $15.6M 19
View entire presentation