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  "documentTitle": "2024 Q1 Charts",
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      "text": "2 Increase versus prior year due to increase in accruals for personnel-related expenses and due to increased provision for ETS redemption",
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      "text": "Free cash flow: 371",
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      "text": "Lufthansa Group (in m EUR) Q1' 24 vs. Q1' 23 EBT -939 -364 Depreciation 613 +21 Net proceeds 4 -4 Equity investments 13 -3 Net interest 82 -10 Tax -14 -3 Non-cash -92 -129 Working capital 1,496 -51 Other 148 +273 OCF 1,311 -270 CapEx -940 +100 FCF 371 -170 Adj FCF 305 -177 Cash 1,265 -17 Securities 7,009 -70 Liquidity 8,274 -87",
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