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      "text": "(1) As of 9/30/2021... (2) As of 11/23/2021... (3) Estimated %... (4) Includes $8.0M of non-controlling interest",
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      "text": "3Q21 net debt-to-adjusted EBITDA ratio of ~3.7x; Closed comprehensive refinancing on July 27, 2020; Revised credit agreement extends term loan maturity to December 31, 2024",
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