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  "documentTitle": "jetBlue | Results Presentation Deck | 22 slides",
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  "authorName": "JetBlue",
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  "presentationDate": "2022-10-01 00:00:00",
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      "text": "(1) Refer to reconciliations of non-GAAP financial measures in Appendices A & B (2) Liquidity defined as unrestricted cash, cash equivalents, short-term investments and long-term marketable securities (3) As of September 30, 2022",
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      "text": "4Q 2022 OUTLOOK: Capacity +1-4% vs 2019; RASM +15-19% vs 2019; CASM ex-Fuel +8.5-10.5% vs 2019; $272M Spirit pre-payment.",
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      "text": "3Q 2022 EARNINGS: GAAP EPS $0.18, non-GAAP $0.21; Adj. pre-tax profit $118M (4.6% margin); RASM +23.4% Yo3Y, CASM +32.4% Yo3Y, CASM ex-Fuel +16.3% Yo3Y.",
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      "text": "3Q 2022 BALANCE SHEET: $66M debt paydown, $260M CAPEX, $25M Spirit break fee; $2.3B liquidity (28% of 2019 revenue); Adj. Debt to Cap 53%.",
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      "text": "FY 2022 OUTLOOK: Capacity +0-2% vs 2019; CASM ex-Fuel +13-14% vs 2019; Solid pre-tax margins in 4Q22.",
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