SmileDirectClub Investor Presentation Deck slide image

SmileDirectClub Investor Presentation Deck

Cash Flow From Operations to Free Cash Flow. (In thousands) Cash Flow From Operations Cash Flow From Investing Free Cash Flow smile DIRECT CLUB Note: Free Cash Flow is a non-GAAP financial measure. Three Months Ended December 31, 2020 ($14,912) (28,373) $(43,285) 2019 $(141,177) (40,106) $(181,183) 22
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