Freshpet
capital spending key projects remain on track and on budget estimated spending of million once phase is completed next summer we will have built adequate infrastructure buildings to accommodate our next lines cash flow generated million of operating cash flow in a yoy improvement of over million driven by growth working capital position interest income is offsetting interest expense liquidity million of cash on hand as of generating meaningful which could be leveraged to provide increased liquidity in if necessary operating cash flow significant | Freshpet
Company
Deck Type
Deck date
February 2024
Slide
31 of 38
Similar slides by Freshpet
Results
August 2024
Results
May 2024
Related slides by other companies
IPO
March 2024
Results
October 2020
Investor Presentation
February 2022
Investor Presentation
August 2022
Other recent decks by Freshpet
Results
February 2025
Results
August 2024
Results
May 2024
Search Thousands of Presentations by World Leading Companies

Stay in the loop

Join our mailing list to stay in the loop with updates and newest feature releases
© 2021-2024 Slidebook.io