CoreLogic Reports Record Full-Year and Fourth Quarter 2020 Revenue, Operating Income, Profit Margins and Cash Flow

Reconciliation to Free Cash Flow
(Unaudited)

(in thousands)

 

For the Year Ended December 31, 2020

Net cash provided by operating activities - continuing operations

 

$

491,178

 

Purchases of property and equipment

 

(57,668)

 

Purchases of capitalized data and other intangible assets

 

(41,442)

 

Free Cash Flow

 

$

392,068

 

 



Contact:

Investor Contact: Dan Smith, office phone: 703-610-5410, e-mail: danlsmith@corelogic.com

Media Contact: George Sard, Sard Verbinnen & Co, office phone: 212-687-8080, e-mail: GSard@SARDVERB.com



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