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  "documentTitle": "Braze | Results Presentation Deck | 19 slides",
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      "text": "DOLLARS IN THOUSANDS, EXCEPT PER SHARE AMOUNTS",
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      "text": "Net cash provided by/(used in) operating activities $3,375 ($5,879) $20 ($3,807) ($4,607) ($2,454) ($24,530) $17,921 ($16,321)\nLess:\nPurchases of property and equipment (254) (250) (416) (298) (457) (355) (1,200) (1,960) (7,884)\nCapitalized internal-use software costs (737) (694) (212) (498) (674) (670) (223) (306) (477)\nNon-GAAP Free Cash Flow $2,384 ($6,823) ($608) ($4,603) ($5,738) ($3,479) ($25,953) $15,655 ($24,682)\nNon-GAAP Free Cash Flow Gross Margin 6.6% (17.3%) (1.4%) (9.6%) (10.3%) (5.4%) (36.8%) 20.2% (28.7%)",
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