Grab Results Presentation Deck slide image

Grab Results Presentation Deck

Q3 2021 Results Consolidated group (IFRS Financials)(¹) Revenue (US$M) %of GMV 5.6% 172 Q3 2020 3.9% 157 -9% Q3 2021 Net Loss (US$M) %of GMV Note: 1. These are unaudited IFRS financials. 2. Cash Liquidity includes cash on hand, time deposits, marketable securities and restricted cash. (20.3%) (621) Q3 2020 (24.5%) (988) -US$366M Q3 2021 Cash Liquidity (2) (US$M) 3,705 Q4 2020 5,187 +US$1,482M Q3 2021 18
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