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  "documentTitle": "jetBlue | Results Presentation Deck | 28 slides",
  "authorId": "jetblue",
  "authorName": "JetBlue",
  "documentKindSlug": "conference-presentation",
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  "presentationDate": "2021-10-01 00:00:00",
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  "notes": "The slide uses a 2x2 grid layout to contrast historical performance with forward-looking assumptions.",
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      "kind": "disclaimer",
      "text": "(1) Refer to reconciliations of non-GAAP financial measures in Appendices A & B (2) As of September 30, 2021 *As of October 26, 2021; does not constitute guidance",
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      "kind": "list",
      "text": "4Q 2021 PLANNING ASSUMPTIONS: Adjusted EBITDA ($50M) to $50M; Capacity (4%) - (7%) vs 4Q 2019; Revenue down (8%) - (13%) vs 4Q 2019; CASM ex-Fuel up 14% - 16% vs 4Q 2019",
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      "text": "3Q 2021 BALANCE SHEET: $3.3B liquidity (41% of 2019 revenue); Adjusted Debt to Cap ratio at 53%",
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      "text": "KEY LIQUIDITY UPDATE: Paid down $115M CARES Act loan and $105M bank loans; Unencumbered asset base grew by ~$500M",
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      "text": "3Q 2021 EARNINGS: GAAP earnings per diluted share of $0.40; non-GAAP loss per share of ($0.12); Adjusted EBITDA of $140M vs expected $75M-$125M; Revenue down (5.5%) Yo2Y; CASM down (2.1%) Yo2Y (GAAP); CASM ex-Fuel up 12.7% Yo2Y (non-GAAP)",
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      "kind": "title",
      "text": "BUILDING TOWARDS EARNINGS RECOVERY",
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