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      "text": "Reconciliation of Free Cash Flow to Net Cash Flows used in Operating Activities (Unaudited) (in thousands of U.S. dollars) Three months ended June 30, 2024 2023 Six months ended June 30, 2024 2023 Net cash flows used in operating activities (46,935) (41,878) (86,013) (113,090) Capital expenditures (14,226) (12,912) (20,420) (41,034) Free Cash Flow (61,161) (54,790) (106,433) (154,124)",
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