The following table reconciles our cash flows from operating activities to Free Cash Flow for the periods indicated:
Three months ended September Nine months ended September 30, 30, (In thousands of US dollars) 2024 2023 2024 2023 $ $ $ $ -------------- -------------- ------------- ------------- Cash flow from operating activities 4,335 6,215 19,522 9,488 Purchases of property and equipment (471) (120) (958) (386) Acquisition related compensation paid 669 -- 3,307 189 Transaction related expenses paid -- 551 306 991 Restructuring costs paid -- 1,707 -- 2,831 ------- ----- -------- ---- ------- ---- -------- --- Free cash flow 4,533 8,353 22,177 13,113 ------- ----- -------- ---- ------- ---- -------- --- Free cash flow as a percentage of total revenue 8.2% 18.0% 13.9% 10.0%
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Vice President - Investor Relations
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mike.mccarthy@docebo.com
(END) Dow Jones Newswires
November 08, 2024 06:00 ET (11:00 GMT)
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