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  "documentTitle": "SmileDirectClub | Investor Presentation Deck | 47 slides",
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  "authorName": "SmileDirectClub",
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  "presentationDate": "2022-11-01 00:00:00",
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      "text": "We ended Q3 with $120.2 million in cash and cash equivalents.\nCash from operations for the third quarter was ($24.1) million.\nCash spent on investing for the third quarter was ($10.8) million\nFree Cash Flow was ($34.9) million in the quarter\nIn Q3 2022, SmilePay financing, which drives our accounts receivable, as a percentage of total aligners purchased was 60.1%, which is about a 90 bps decrease over Q2 2022.\nOverall, SmilePay delinquency rates continue to be in line with past performance",
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      "text": "(1) Free Cash Flow is a non-GAAP financial measure. See appendix for definition of Free Cash Flow. Prior period reconciliations are available in historical SEC filings at https://investors.smiledirectclub.com/financial-filings/sec-filings.",
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      "kind": "table",
      "text": "($ in millions) Q1 2022 Q2 2022 Q3 2022\nCash $144.7 $158.3 $120.2\nDebt $739.6 $792.2 $792.4\nAccounts Receivable, Net $240.5 $221.6 $201.8\nCash Flow from Operations ($61.3) ($17.8) ($24.1)\nCash Flow from Investing ($15.1) ($17.8) ($10.8)\nFree Cash Flow (1) ($76.4) ($35.6) ($34.9)",
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