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Investor Presentaiton

Free Cash Flow Reconciliation Year Ended December 31, ($ in millions) Cash provided by operating activities Purchase of property, plant and equipment 2016 2017 2018 2019 2020 $559.3 $540.0 $496.1 $573.1 $509.3 (136.2) (125.0) (143.4) (112.5) (82.1) Interest proceeds on swaps designated as net investment hedges Free cash flow 9.4 $423.1 $415.0 $362.1 14.7 $475.3 14.5 $441.7 AXALTA COATING SYSTEMS 41
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