Altair Announces Third Quarter 2021 Financial Results

The following table provides a reconciliation of projected Free Cash Flow to projected net cash provided by operating activities, the most comparable GAAP financial measure:

      (Unaudited) 
       Year Ending
December 31, 2021
 
(in thousands)      Low   High 
Net cash provided by operating activities     $49,600  $52,600 
Capital expenditures      (8,600)  (8,600)
Free cash flow     $41,000  $44,000 
             

 


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