Olaplex Results Presentation Deck slide image

Olaplex Results Presentation Deck

Q2 2023 FINANCIAL POSITION Inventory $128.5 MM VS $144.4 MM June 30, 2023 compared to December 31, 2022 Q2 2023 EARNINGS Cash and Cash Equivalents, and Cash Flows from Operations Cash Flows from Operations $75.1 MM vs $128.1 MM 6 months ended June 30, 2023 compared to 6 months ended June 30, 2022 Cash and Cash Equivalents $378.4 MM vs $322.8 MM June 30, 2023 compared to December 31, 2022 19 Long-Term Debt (Net of current portion and deferred fees) $651.7 MM VS $654.3 MM June 30, 2023 compared to December 31, 2022 OLAPLEX.
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