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  "documentTitle": "LKQ | Results Presentation Deck | 61 slides",
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  "authorName": "LKQ",
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  "presentationDate": "2023-08-01 00:00:00",
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  "notes": "The chart shows the bridge from Beginning Cash (12/31/22) to Ending Cash (6/30/23).",
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      "text": "Financing cash flows: $1,394 million in net proceeds from the issuance of U.S. Notes (2028/33) in the current year. $148 million for our YTD cash dividend vs. $142 million in the prior year. $8 million to repurchase shares vs. $528 million in the prior year. $90 million of debt repayments, net vs. $301 million in the prior year. $30 million of debt issuance costs (none in the prior year)",
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      "text": "Investing cash flows: Capex of $136 million vs. $99 million in 2022; up 37.0%, primarily driven by capital projects in our Self Service, Europe and Specialty segments. $52 million of cash invested in business acquisitions vs. $5 million in the prior year",
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      "text": "Operating cash flows: Operating cash flows of $703 million represent a 5%, or $34 million, decrease year over year primarily driven by higher payments for taxes and interest",
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      "kind": "title",
      "text": "Q2 2023 Capital Allocation",
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