North America Segment Financial Results slide image

North America Segment Financial Results

Free Cash Flow Reconciliation - TTM MM Operating Cash Flow Purchases of property and equipment, net of proceeds from sales and incentives Q1 2021 $67,213 Q2 2021 $59,322 Q3 2021 Q4 2021 Q1 2022 $54,671 $46,327 $39,324 (40,803) (47,176) (52,119) (55,396) (57,951) Free Cash Flow $26,410 $12,146 $2,552 ($9,069) ($18,627) 17
View entire presentation