Lumen Investor Presentation Deck slide image

Lumen Investor Presentation Deck

Consolidated Cash Flow Summary ($ in millions) Cash Flow from Operations Capital Expenditures Free Cash Flow (1) Net Cash Interest Key Metrics (1) Includes the impact of $90 million in cash tax payments related to our divestitures completed on August 1, 2022 and October 3, 2022. Issued: May 2, 2023 28 1Q23 $595 $640 ($75) $350 LUMENⓇ
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