OppFi Results Presentation Deck slide image

OppFi Results Presentation Deck

OppFi Cash Flows 17 (in thousands) Unaudited Net cash provided by operating activities Net cash (used in) investing activities Net cash provided by financing activities Net (decrease) increase in cash, cash equivalents and restricted cash 69 $ Three Months Ended March 31, 2022 2021 44,286 (52,244) 5,097 (2,861) $ 6.9 Variance (%) 45,356 (2.4%) (4,642) (1025.5%) 9,594 (46.9%) 50,308 (105.7%) OppFi"
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