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  "documentTitle": "2025 09 Investor Briefing",
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  "notes": "The data is presented in thousands and is unaudited.",
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      "text": "Free cash flow: 283,616",
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      "text": "CROWDSTRIKE HOLDINGS, INC.\nFree cash flow reconciliation\n(In thousands)\n(unaudited)",
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      "text": "GAAP net cash provided by operating activities: 326,641 / 332,832; Purchases of property and equipment: (39,254) / (30,497); Capitalized internal-use software: (14,516) / (17,289); Free cash flow: 272,230 / 283,616; Free cash flow margin: 28% / 24%",
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