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  "documentTitle": "eBay | Results Presentation Deck | 29 slides",
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  "authorName": "eBay",
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  "presentationDate": "2020-01-01 00:00:00",
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  "notes": "The slide uses a waterfall-bridge chart to visualize the net debt calculation.",
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      "kind": "callout",
      "text": "Repurchased $1.0B of shares and paid cash dividend of $113M in Q4. $2.2B Authorization Remaining.",
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      "text": "Waterfall chart showing $3.8B cash, ($7.8B) debt, resulting in ($4.0B) net debt.",
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      "text": "Capital Allocation Tenets: Preserve financial flexibility, Drive organic growth, Supplement with acquisitions, Optimize cost of capital, Meaningful shareholder returns.",
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      "text": "* Cash balances/flows include cash, cash equivalents and non-equity investments ** Authorization remaining as of December 31, 2019",
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      "text": "2019 CASH & DEBT",
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