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  "notes": "Includes specific assumptions regarding SPAC/PIPE funding and pro forma adjustments.",
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      "text": "Note: Assumes free cash flow deployed to M&A and futures reinvestment. Assumes excess cash flow used to paydown debt over the projected period. Excludes the effect of any non-cash stock-based compensation expense related to the current option plan. 1 Includes public company costs of $4M starting FY2022E and on a pro forma basis for prior historical years for comparison. 2 Adjusted Free Cash Flow excludes cash for acquisitions. 3 FY2021E figures are pro forma for the transaction with illustrative $246M cash to balance sheet",
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      "text": "SUMMARY FINANCIALS | ASSUMES $115M SPAC & $150M PIPE",
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