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  "documentTitle": "AgroFresh | Results Presentation Deck | 16 slides",
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  "authorName": "AgroFresh",
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  "presentationDate": "2021-08-01 00:00:00",
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  "notes": "Includes footnotes regarding GAAP reconciliation and specific cash flow adjustments.",
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      "text": "(1) See GAAP to Non-GAAP schedule... (2) 1H 2021 cash flow... (3) Amount is net of issuance costs",
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      "text": "Positive trends in Operating Cash Flow: 2018: $3.0 million, 2019: $20.1 million, 2020: $26.7 million, June YTD 21: $30.9 million",
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      "text": "Completed comprehensive refinancing on July 27, 2020; Convertible preferred equity investment; Net debt-to-adjusted EBITDA ratio of 3.3x; Term loan maturity extended; Undrawn $25 million revolver",
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      "text": "Liquidity table showing Gross Debt, Cash, Net Debt, and Preferred Equity as of 6/30/21",
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