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  "documentTitle": "Eutelsat | Investor Presentation Deck | 57 slides",
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  "presentationDate": "2022-05-01 00:00:00",
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  "notes": "The chart uses a waterfall structure to bridge operational cash flow to discretionary free cash flow, including adjustments for FX, hedging, and one-offs.",
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      "kind": "chart",
      "text": "Waterfall chart showing Net Cash-Flow from operations (363), Cash Capex (-98), Interest and Other fees (-70), and Discretionary Free Cash-Flow (195 + 8 = 203)",
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      "text": "Cash Capex covers the acquisition of satellites and other tangible or intangible assets, payments in respect of export credit facilities or other bank facilities financing investments as well as payments related to lease liabilities.",
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      "text": "Table showing Change as per financial objectives (-62) and Reported change (-72, +19, -8, -62)",
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      "text": "ADJUSTED DISCRETIONARY FREE CASH-FLOW",
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