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Investor Presentaiton

74 Significant Cumulative Free Cash Flow Resources and Flexibility to Reward Shareholders $B ~1.5B 5-Year Operating Cash ~0.4B ~0.3B ~0.4B ~0.4B ~1.2B >1.5B 12/31/17 Net Debt GP Acquisition 5-Year Capex Net Cash Available in 2022 2.5x Leverage in 2022 Cash Available to Invest or Return Ingevity
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