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  "documentTitle": "2025 Q1 Results Presentation 2",
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      "text": "Free cash flow generation: €261.8 million, -22.1% vs. Q1'24, resulting from an expanding EBITDA and fundamentally, higher capital expenditure, but also an increased change in working capital outflow, taxes and interests paid.",
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      "text": "Capital expenditure: +€49.0 million, or +30.9%, over prior year... fundamentally driven by higher R&D capitalizations and mainly focused on: Customer implementations, evolution of our portfolio, and migration to the cloud.",
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