Trex Company, Inc. Pitch Deck slide image

Trex Company, Inc. Pitch Deck

Trex CAPITAL ALLOCATION STRATEGY Putting Free Cash Flow to work through Investment in Core Business and Share Repurchases Invest in Core >$516M capital expenditures since 2016 > New capacity from $200M capacity expansion to help meet higher demand levels > 3rd site announced with modular construction approach - Estimated $400M in plant expenditures through 2025 Repurchase Shares > $595M in share repurchases over the past 10 years. > $74M in FY 2021 repurchases > $245M in YTD 2022 repurchases > 4.3M remaining share repurchases authorized 18
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