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Grab Results Presentation Deck

Q3 2023 Results Net Cash Liquidity $ in millions, unless otherwise stated Cash & cash equivalents Add: Other Long-term Investments Add: Time deposits Add: Cash investments Cash Liquidity (2) Less: Loans and borrowings Net Cash Liquidity As of Sep 30, As of Jun 30, As of Mar 31, 2023(1) 2023(1) 2023(1) 3,018 137 2,039 755 5,949 (778) 5,171 2,282 135 2,534 683 5,634 (772) 4,862 2,351 129 2,585 709 5,774 (781) 4,993 As of Dec 31, 2022(1) 1,952 123 3,693 739 6,507 (1,365) 5,142 Note: 1. Unaudited for Sep 30, 2023, June 30 2023 and Mar 31, 2023. For Dec 31, 2022, only loans and borrowings are audited but cash liquidity and net cash liquidity are not. 2. Cash liquidity includes cash on hand, time deposits and marketable securities. 15
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