Luminar Results Presentation Deck slide image

Luminar Results Presentation Deck

Q2'23 selected financials (In millions) Cash and cash equivalents Marketable securities Cash, cash equivalents & marketable securities Total Assets Revenue Cost of sales Gross loss Operating expenses Free cash flow³ Please refer to slide 16 in Appendix for Footnote 3. June 30, 2023 $89.1 $276.7 $365.8 $599.8 Dec 31, 2022 $69.6 $419.3 $488.9 $687.3 GAAP Three months ended June 30, 2022 $9.9 $28.1 2023 $16.2 $34.5 $(18.3) $125.6 $(18.2) $86.3 Three months ended June 30, 2023 $(78.5) 2022 $(56.5) © 2023 Luminar Technologies, Inc. All Rights Reserved | 17
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