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  "documentTitle": "DTE Electric | Investor Presentation Deck | 36 slides",
  "authorId": "dte-electric",
  "authorName": "DTE Energy",
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  "presentationDate": "2022-09-01 00:00:00",
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      "kind": "source-note",
      "text": "1. Includes equity issued for employee benefit programs\n2. Convertible equity units related to the 2019 midstream acquisition",
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      "text": "Capital expenditures: DTE Electric Base infrastructure $1,170, New generation 210, Distribution infrastructure 1,305, Total $2,685, DTE Gas Base infrastructure $355, Main renewal 315, Total $670, Non-utility $300-$400, Total $3,655-$3,755",
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      "text": "Cash flow: Cash from operations¹ $2.6, Capital expenditures (3.7), Free cash flow ($1.1), Dividends (0.7), Other (0.1), Net cash ($1.9), Debt financing Issuances $3.5, Redemptions (2.9), Total debt financing $0.6, Equity financing² $1.3, Total financing $1.9",
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