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Investor Presentaiton

Free Cash Flow Reconciliation Consolidated Atkore International Group Inc. (in thousands) Net cash provided by operating activities Capital expenditures Free Cash Flow A Atkore September September September 30, 2020 30, 2019 30, 2018 $ 248,762 $ 209,694 $ Fiscal Year Ended September 30, 2017 September 30, 2016 145,703 $ 121,654 $ 156,646 $ September 30, 2015 141,073 (33,770) $ 214,992 $ (34,860) 174,834 $ (38,501) 107,202 $ (25,122) 96,532 $ (16,830) (26,849) 139,816 $ 114,224 Inputs for all periods above can be found either in the appendix, or in our Annual Reports filed on November 19, 2020, November 22, 2019, November 28, 2018, November 29, 2017 and November 29, 2016. A Atkore International, Inc. 22 22
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