Light & Wonder(LNW) - 2020 Q2 - Earnings Call Presentation

SECOND QUARTER 2020 EARNINGS PRESENTATION Effectively Managing our Business • Took substantial proactive measures across our global business to manage expenses and capital expenditures enabling us to reduce our Q2 cash spend by over $150M • As a result of our actions Q2 consolidated net cash outflow* was $16M, and YTD free cash flow* was $64M • Available liquidity at quarter-end was $943M including the SciPlay revolver, and $790M in cash and cash equivalents • On May 8, 2020, we amended our credit agreement ...