Q1 2022 & FY 2021 Results slide image

Q1 2022 & FY 2021 Results

REFLECTION OF THE STRATEGY EXECUTION SINCE 2016 Deleveraging as soon as possible ONE OF THE STRONGEST PLAYERS IN THE INDUSTRY Maintaining a healthy cash balance Refinancing bank debt and notes, extending maturities and reducing the average cost of debt Swapping non-integrated ready-mix assets for Montana cement plant without increasing debt Succesfully completing Rapid City cement plant expansion Maintaining strict M&A criteria with a focus on value for purchase, at a cost within strict pre-determined parameters GCC 3
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