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  "documentTitle": "Bed Bath &amp; Beyond | Results Presentation Deck | 41 slides",
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  "authorName": "Bed Bath & Beyond",
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      "text": "Note: Adj. EBITDA, and adj. gross margin are non-GAAP financial measures. For a reconciliation to comparable GAAP measures, see Appendix of this presentation.",
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      "text": "Consistent Comparable Sales Growth: 4% total enterprise Comp Sales growth; 86% total enterprise Digital Comp Sales growth; 41% of total Digital Sales fulfilled by stores",
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      "text": "Fast-Paced Transformation: 5th non-core banner divestiture complete; 144 Bed Bath & Beyond banner store closures in FY20",
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      "text": "Stronger Capital Structure: $0.2bn strong Net Cash surplus position; $2.1bn in Total Liquidity",
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      "text": "(1) Bed Bath & Beyond is among the Company's four core banners. (2) Free Cash Flow of $62mn includes cash flow provided from operations of $76mn less cash flow used in investing of $14mn, inclusive of $66mn of CAPEX. (3) Total Liquidity includes cash & investments and the Company's asset-based revolving credit facility. (4) Announced completion of CPWM sale on 1/19/21.",
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