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      "text": "Q1-2022 operating activities included $370m in operating cashflow before changes in working capital, a $70m change in working capital, and $5m generated from discontinued operations. Q1-2022 financing activities included $31m of share buybacks and $70m of dividends paid. Q4-2021 investing activities included $31m spend on sustaining capex, $42m on non-sustaining capex and $8m on growth projects among other items. Robust net cash position of $167m at quarter-end despite $31m of share buybacks and $70m in dividends paid during the quarter. At quarter-end, Endeavour's liquidity remained strong with $1,047m of cash on hand and $450m undrawn on the RCF.",
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