2023 | 2022 | 2021 | ||
---|---|---|---|---|
Sales | $1,017.5 | $1,444.0 | $1,417.7 | |
Net Income (Loss) | $(70.1) | $61.8 | $202.8 | |
Adjusted EBITDA | $(29.9) | $136.9 | $302.1 | |
Cash and Cash Equivalents | $2.3 | $15.8 | $130.0 | |
Debt | $(83.8) | - | - | |
Net Cash (Debt) | $(82.4) | $15.8 | $130.0 | |
Net Debt to Cap | 13% | - | - | |
Total Liquidity | $147.8 | $249.8 | $371.4 |