Generates net cash provided by operating activities of $87.9 million and free cash flow 1 of $38.9 million Increases cash and cash equivalents by $31.5 million and overall liquidity by $47.5 million ...
Returns $24.6 million to stockholders via share buybacks and quarterly dividends; $218.3 million returned to stockholders since the capital return program's launch in February CANONSBURG, Pa., Nov. 6, ...
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