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  "documentTitle": "2025 Q4 Investor Presentation",
  "authorId": "Hyatt",
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      "text": "SLIDE 24: COMMITTED TO INVESTMENT GRADE. Total debt and liquidity figures as of December 31, 2025. 1 Chart excludes a $51 million variable rate term loan, a $19 million floating average rate loan, a $3 million of finance lease obligations, a $34 million of unamortized discounts and deferred financing fees as well as Hyatt's revolving credit facility. At December 31, 2025, the Company had $1,497 million million of borrowing capacity available under the revolving credit facility, net of letters of credit outstanding.",
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      "text": "SLIDE 25: WHAT TO EXPECT IN 2026. The Company's 2026 outlook is based on a number of assumptions that are subject to change and many of which are outside the control of the Company. If actual results vary from these assumptions, the Company's expectations may change. There can be no assurance that the Company will achieve these results. No disposition or acquisition activity beyond what has been completed as of the date of this presentation has been included in the 2026 Outlook.",
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