OppFi Results Presentation Deck slide image

OppFi Results Presentation Deck

23 OppFi Cash Flows ($ in thousands, unaudited) Net cash provided by operating activities Net cash (used in) investing activities Net cash provided by (used in) financing activities Net increase in cash, cash equivalents and restricted cash S S $ S Nine Months Ended September 30, 2021 120,090 (109,979) 1,033 11,145 S S $ S 2020 143,419 (43,653) (91,529) 8,237 Variance (%) (16.3)% (151.9)% 101.1% 35.3% OppFi"
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