Sonos Results Presentation Deck slide image

Sonos Results Presentation Deck

Reconciliation of Cash Flows Provided by (Used in) Operating Activities to Free Cash Flow Cash flows provided by (used in) operating activities Less: Purchases of property, equipment, and intangible assets Free cash flow Note: $ in thousands, unaudited. Three Months Ended October 1, 2022 $(103,917) (21,269) $(125,186) October 2, 2021 $6,486 (10,739) $(4,253) Twelve months ended October 1, 2022 $(28,260) (46,216) $(74,476) October 2, 2021 $253,226 (45,531) $207,695
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