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  "documentTitle": "3M | Results Presentation Deck | 23 slides",
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  "presentationDate": "2020-04-01 00:00:00",
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      "text": "Robust cash flow: Q1 operating cash $1.2B, adjusted free cash $0.9B, Q2 proceeds $0.4B, credit facility $4.25B",
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      "text": "Adjusting capital allocation: Q1 repurchases $365M, Q1 cap-ex $332M, FY 2020 cap-ex $1.3B",
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      "text": "* Excludes Acelity debt of $0.5B previously escrowed",
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