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  "documentTitle": "Maersk | Results Presentation Deck | 33 slides",
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  "authorName": "Maersk",
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  "presentationDate": "2023-08-01 00:00:00",
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  "notes": "The table displays financial metrics in USDm, including operating activities, CAPEX, and free cash flow.",
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      "text": "Cash flow statement (USDm) Q2 2023 Q2 2022 H1 2023 H1 2022 Profit/loss before financial items 1,607 8,988 3,933 16,261 Non-cash items, etc. 1,240 1,113 3,166 3,228 Change in working capital 145 -1,210 1,365 -2,279 Taxes paid -234 -280 -372 -378 Cash flow from operating activities (CFFO) 2,758 8,611 8,092 16,832 CAPEX -738 -1,008 -1,576 -2,362 Capital lease instalments – repayments of lease liabilities -822 -762 -1,647 -1,408 Financial expenses paid on lease liabilities -144 -124 -283 -242 Financial payments, net 180 -59 631 -211 Sale proceeds and dividends received 347 186 588 249 Free cash flow (FCF) 1,581 6,844 5,805 12,858 Acquisitions, net (incl. sales) 761 -1,551 655 -1,535 Dividends and share buy-backs -2,392 -1,506 -12,507 -8,085 Repayments of/proceeds from borrowings, net -162 -631 -262 -647",
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      "text": "Consolidated financial information",
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