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  "documentTitle": "Kinnevik | Results Presentation Deck | 14 slides",
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  "authorName": "Kinnevik",
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  "presentationDate": "2020-07-01 00:00:00",
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  "notes": "The chart is a waterfall bridge showing the transition from cash/MMFs to net cash and pro forma net cash.",
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      "text": "During the first quarter of 2020, we net divested SEK 6.5bn... At the end of the second quarter of 2020, we held SEK 9.5bn in cash... Net of SEK 4.0bn in commercial paper... In Q2, we received the first SEK 516m tranche... Tele2's extra dividend was temporarily postponed... Our share of the originally proposed extraordinary dividend amounts to SEK 657m... Our current financial position provides us with the financial strength... As communicated in connection with our 2019 Year-End Release, we are looking to deploy slightly less in 2020 than the 4.6 billion SEK we deployed in 2019",
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      "text": "OUR NET CASH POSITION PROVIDES US FURTHER FINANCIAL STRENGTH AND FLEXIBILITY TO CONTINUE TO EXECUTE OUR 2019-23 CAPITAL ALLOCATION PLAN",
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