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  "docSlug": "ce09a4f9fdf2287a8a84c3bc6af0b063",
  "documentTitle": "Rightmove | Results Presentation Deck | 35 slides",
  "authorId": "rightmove",
  "authorName": "Rightmove",
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  "sourceTypeSlug": "investor_relations",
  "sourceTypeLabel": "Investor relations",
  "presentationDate": "2022-02-01 00:00:00",
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  "notes": "The slide uses a waterfall chart to explain the decrease in cash balance year-over-year.",
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      "text": "Cash generated from operating activities of £237m (2020:£141m); Operating cash conversion(1) of 105% (2020:105%); Closing cash of £48.0m (31 Dec 2020: £96.7 m); Lower cash balance reflects resumption of dividends and share buybacks; Long term capital returns policy unchanged",
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      "text": "(1) cash from operating activities as a proportion of operating profit Source: Rightmove. Cash includes money market deposits.",
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