Playboy SPAC Presentation Deck slide image

Playboy SPAC Presentation Deck

* Core Licensing Business Generates Massive Contracted Cashflows PLAYBOY 2020 17 $27.6 CONTRACTED CASHFLOWS ($MM) $46.7 2H2020 2021 Source: Management. ¹Includes 2028 and 2029 contracted cashflows. $46.4 2022 $47.6 2023 $48.2 2024 $48.5 2025 $49.5 2026 $47.0 2027 • Approx. $40OM of forward- booked contracted cashflows¹ .80%+ gross margins • Assumes no renewals (historical renewal rate is more than 95%)
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