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Investor Presentaiton

FY 2023 financial targets focused on revenue growth and financial discipline INVESTOR 20 DAY 23 Revenue $545-$550M 21% -22% y/y growth OpEx < FY 2022 Leveraging existing infrastructure Free Cash Flow ~($350M) Reducing cash burn GUARDANTâ„¢ 147 Guidance issued on Q2 2023 earnings call August, 3, 2023. Free cash outflow is defined as net cash used in operating activities plus the cash outflow resulting from the purchase of property and equipment.
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