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  "documentTitle": "LVMH | Shareholder Engagement Presentation Deck | 49 slides",
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  "presentationDate": "2023-04-01 00:00:00",
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  "notes": "The table reconciles cash from operations to operating free cash flow.",
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      "text": "Analysis of free cash flow operations (in million of euros)",
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      "text": "* Before available for sale financial assets and investments, transactions relating to equity and financing activities.",
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      "text": "Cash from operations before changes in working capital: 22 621 (2021), 26 770 (2022), 4 149 (Change). Net cash from operating activities: 18 648 (2021), 17 833 (2022), (815) (Change). Operating investments: (2 664) (2021), (4 969) (2022), (2 305) (Change). Operating free cash flow*: 13 531 (2021), 10 113 (2022), (3 418) (Change).",
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      "text": "Operating free cash flow exceeded 10 billion euros in 2022",
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