Dropbox Investor Presentation Deck slide image

Dropbox Investor Presentation Deck

Free cash flow reconciliation Net Cash provided by operating actitivies Capital expenditures Free cash flow $ $ 2019 528.5 (136.1) 392.4 $ $ Twelve Months Ended 2020 570.8 (80.1) 490.7 $ Ś 2021 729.8 (22.1) 707.7
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