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  "notes": "Includes a bar chart for net debt/leverage and a bar chart for historical dividend growth.",
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      "text": "Significant Free Cash Flow Generation: $3.2 Billion in 3Q21; $13.3 Billion YTD",
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      "text": "Consolidated Capital: (2.5%) to $2.9B in 3Q21. Return of Capital: Resumed share repurchases, total return of $2.7B, dividend increase to $1.00.",
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      "text": "Capital Allocation Priorities: Maintaining a strong balance sheet, Investing organically for profitable growth, Returning capital to shareholders",
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      "text": "*Capital reflects Capital expenditures plus Cash paid for capitalized software and other intangible assets as presented in our Trending Schedules. See Notes on Slide 11",
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