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  "documentTitle": "2024 FY Results Presentation",
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      "text": "Free cash flow generation: €359.6 million in Q4 2024. Excluding non-recurring tax-related collections in Q4 2024 (€107.0 million), as well as a non-recurring payment to a third party distributor in Q4 2023 (€10.9 million), Free Cash Flow was 15.2% above Q4 2023.",
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      "text": "1. From January 1, 2024, capital expenditure is presented net of inflows from sales of assets... 2. Excluding: in Q4 2024... 3. Based on our credit facility agreements' definition.",
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