Circut Results Presentation Deck slide image

Circut Results Presentation Deck

4 cricut. Balance Sheet and Cash Flow highlights Cash, equivalents as of 6/30/22 $231.3M Cash, cash equivalents, marketable securities $300.0M New credit line, remains untapped Cash Flow generated from Operations 6/30/22 YTD $13.0M Q2 2022 Financial Results Board-Approved Share Repurchase Program Up to $50.0M 19
View entire presentation