OppFi
capital management ample debt capacity to fund future growth without equity available cash of million estimated year end liquidity total committed credit facilities of million including of additional corporate debt utilization at estimated at future capital allocation strategy continue growth in installment business funded through existing credit facilities and free cash flow generation ramp payroll deduction and credit cards offerings launch adjacent products in near prime lending i mortgages digital banking opportunistic acquisitions of complementary businesses | OppFi
Company
Deck Type
Deck date
February 2021
Slide
38 of 46
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