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  "documentTitle": "Bed Bath &amp; Beyond | Results Presentation Deck | 43 slides",
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  "authorName": "Bed Bath & Beyond",
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  "presentationDate": "2021-01-01 00:00:00",
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  "notes": "The slide uses a column-based layout to categorize performance highlights into five strategic areas.",
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      "text": "(1) Cash Flow includes cash flow from operations + cash from investing activities, net of CAPEX. (2) Announced definitive agreement to sell CPWM FY20 Q4. (3) Gross Debt includes bonds, revolver/ABL borrowing, and operating and finance lease liabilities (4) Total Liquidity includes cash & investments and availability from asset-backed lending credit facility.",
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      "text": "Margin Expansion & EBITDA Growth: 310bps increase in Adj. Gross Margin, $41mn reduction in SG&A, 168% increase in Adj. EBITDA to $121mn.",
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      "text": "Stronger Capital Structure: ~$1bn total reduction in Gross Debt, $0.3bn Net Cash surplus, $2.2bn in Total Liquidity.",
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      "text": "Fast-Paced Transformation: 5 non-core banners sold, 120 store closures, $500 to $525mn enhanced FY21 EBITDA range.",
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      "text": "Consistent Comparable Sales Growth: 5% Comp Sales growth, 94% digital Comp Sales growth, 36% digital sales fulfilled by stores, 5% reduction in Q3 Net Sales.",
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