{
  "docId": "019dd923-5eff-723e-9be7-6b44a71370b8",
  "docSlug": "7811ec53288e8821",
  "documentTitle": "2025 Q3 Interim Report",
  "authorId": "Lufthansa",
  "authorName": "Lufthansa Group",
  "documentKindSlug": "consulting-deck",
  "documentKindLabel": "Consulting deck",
  "sourceTypeSlug": "strategy_consulting",
  "sourceTypeLabel": "Strategy consulting",
  "presentationDate": null,
  "orientation": "landscape",
  "aspectRatio": 1.414,
  "pageNumber": 28,
  "pageCount": 39,
  "prevPage": 27,
  "nextPage": 29,
  "slideType": "appendix_data",
  "function": "analyze_data",
  "density": "balanced",
  "nDataPoints": 120,
  "notes": "The table is split into two columns representing the continuation of the cash flow statement.",
  "elementsJson": [
    "data_table"
  ],
  "metadataConfidence": 1,
  "imagePath": null,
  "slideHref": "/slides/019dd923-5eff-723e-9be7-6b44a71370b8/28",
  "deckHref": "/decks/019dd923-5eff-723e-9be7-6b44a71370b8",
  "deckJsonHref": "/decks/019dd923-5eff-723e-9be7-6b44a71370b8.json",
  "deckAnchorHref": "/decks/019dd923-5eff-723e-9be7-6b44a71370b8#slide-28",
  "components": [
    {
      "bbox": {
        "h": 0.038,
        "w": 0.403,
        "x": 0.519,
        "y": 0.483
      },
      "kind": "disclaimer",
      "text": "Previous year figures adjusted due to the reclassification of non-pool material from repairable spare parts to inventories. See Note 20, Repairable spare parts and Note 44, Notes to cash flow from operating, investing and financing activities within annual report 2024.",
      "attrs": null,
      "subkind": null,
      "toolName": null,
      "toolSlug": null,
      "confidence": null,
      "componentId": "d92be2d8-3385-486c-8386-f09953015fae",
      "frameworkName": null,
      "frameworkSlug": null
    },
    {
      "bbox": null,
      "kind": "metric",
      "text": "Cash and cash equivalents: 1,371",
      "attrs": null,
      "subkind": "primary",
      "toolName": "Quantification",
      "toolSlug": "quantification",
      "confidence": null,
      "componentId": "019dd952-7323-76ab-8cf4-67824848ee95",
      "frameworkName": null,
      "frameworkSlug": null
    },
    {
      "bbox": {
        "h": 0.735,
        "w": 0.844,
        "x": 0.078,
        "y": 0.175
      },
      "kind": "table",
      "text": "Consolidated cash flow statement data for Jan-Sep and Jul-Sep 2025/2024",
      "attrs": null,
      "subkind": "data",
      "toolName": null,
      "toolSlug": null,
      "confidence": null,
      "componentId": "8f4e2d7e-367f-4b8f-9e4d-6300095c938d",
      "frameworkName": null,
      "frameworkSlug": null
    },
    {
      "bbox": {
        "h": 0.011,
        "w": 0.227,
        "x": 0.078,
        "y": 0.148
      },
      "kind": "title",
      "text": "CONSOLIDATED CASH FLOW STATEMENT",
      "attrs": null,
      "subkind": "headline",
      "toolName": null,
      "toolSlug": null,
      "confidence": null,
      "componentId": "da7508fa-5c4d-4635-b7be-2b7570799610",
      "frameworkName": null,
      "frameworkSlug": null
    }
  ],
  "metrics": [],
  "tools": [
    {
      "name": "Table data",
      "slug": "table-data",
      "agent": null,
      "layer": "slide",
      "matchId": "a7ad2236-a4ab-403b-8077-c808ffd56d6d",
      "evidence": "Consolidated cash flow statement data for Jan-Sep and Jul-Sep 2025/2024",
      "confidence": 0.9
    }
  ],
  "frameworks": [],
  "arcBeats": [
    {
      "to": 39,
      "from": 21,
      "beatId": "de702d75-8f16-4504-96a7-05aa897cc188",
      "arcName": "The Consultant's Gambit",
      "arcSlug": "consultants-gambit",
      "beatName": "Impact & Next Steps",
      "beatSlug": "consultants-gambit-impact-next-steps",
      "evidence": "The report concludes with a discussion of opportunities, risks, and future outlook.",
      "position": 3,
      "confidence": 0.8,
      "parentBeatName": "Resolution",
      "parentBeatSlug": "resolution"
    }
  ],
  "loops": [],
  "imagePathAlt": null,
  "thumbSrc": null,
  "thumbSrcAlt": null,
  "locked": true
}