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Investor Presentation

Robust financial track record pelu Revenue (C$ millions) Adj. EBITDA & Margin (C$ millions) 13% CAGR 13% CAGR $648 $715 $529 $574 $162 $144 $121 $132 23% 22% 23% 23% 2018 2019 2020 Q2 2021 (TTM) 2018 2019 2020 Q2 2021 (TTM) Adj. Net Income & Margin (1) (C$ millions) Free Cash Flow & Conversion (2) (C$ millions) 57% CAGR $43 $35 $75 21% CAGR $86 $109 $20 $14 6% 76% 5% 65% 62% 4% 3% 2018 2019 2020 Q2 2021 (TTM) 2018 Note: Adjusted EBITDA, Adjusted EBITDA Margin, Adjusted Net Income and Free Cash Flow are non-IFRS measures; Q2 2021 (TTM) reflects sum of four quarter between Q3 2020 and Q2 2021 Adjusted Net Income Margin defined as Adjusted Net Income divided by total sales and revenue Conversion defined as Free Cash Flow divided by Adjusted EBITDA for the applicable period 1. 2. 13 2019 2020
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