Reservoir Investor Presentation Deck slide image

Reservoir Investor Presentation Deck

Solid Balance Sheet & Strong FCF Generator $MM ADJUSTED FREE CASH FLOW¹ $32 FY2020 $35 FY2021 1 Adjusted Free Cash Flow excludes cash flow used for acquisitions and signings $40 FY2022 BALANCE SHEET METRICS as of 09-30-22 TOTAL DEBT: CASH: NET DEBT: CAPACITY: $278M $18M $259M $67M R
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