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  "documentTitle": "2025 Q1 Investor Presentation",
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      "text": "Revolving Credit Facility: Executed $400 million senior secured revolving credit facility on May 21, 2024. The proceeds may be used for working capital and general corporate purposes.",
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      "text": "Issued 2025 Notes: Raised $495 million in our Convertible Notes Offering due 2025 that priced on May 13, 2020, net of issuance costs and a capped call with respect to the 2025 convertible notes.",
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      "text": "Issued 2026 Notes: Raised $790 million in our Convertible Note Offering due 2026 that priced on August 10, 2021, net of the repurchase of 2025 notes, issuance costs, and a capped call with respect to the 2026 convertible notes.",
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      "text": "Repurchased 2025 Notes: Repurchased $123.0 million principal amount for $172.7 million in cash including accrued interest payable in May 2023. Paid approximately $35.4 million in cash and delivered approximately 0.5 million shares of our Class A common stock in July 2023 to settle the conversion of approximately $35.4 million aggregate principal amount of the 2025 Notes.",
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