DigitalOcean Results Presentation Deck slide image

DigitalOcean Results Presentation Deck

ņ Free Cash Flow and Free Cash Flow Margin (In thousands) Net cash provided by operating activities Adjustments: Capital expenditures - property and equipment Capital expenditures - internal-use software development Free cash flow As a percentage of revenue: Net cash provided by operating activities Free cash flow margin $ $ $ Three Months Ended March 31, 2022 30,283 (22,976) $ (2,276) 5,031 $ 24 % 4% 2021 19,791 (22,398) (1,370) (3,977) 21 % (4)% digitalocean.com 26
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