Despegar Results Presentation Deck slide image

Despegar Results Presentation Deck

Already Solid Cash Position Increased $12 M QoQ to $256 M, Maintaining Financial Flexibility 1 Operating Cash Flow 10.4 O 3Q22 +$13M 33.8 3Q23 2 Cash & Cash Equivalents 244 2Q23 +$12M 256 3Q23 O Operating cash flow increased +$12M YoY in line with Net Working Capital increase driven by higher Gross Bookings and operating leverage during 3023 Despite preferred dividend payment, CAPEX and other investments Cash and Cash Equivalents increased +12M QOQ 11
View entire presentation