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  "authorName": "Definitive Healthcare",
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  "presentationDate": "2023-08-01 00:00:00",
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      "text": "Transaction and integration expenses paid in cash primarily represent legal, accounting, and consulting expenses related to our acquisitions; restructuring expenses paid in cash relate to our restructuring plan announced in the first quarter of 2023 and exit costs related to office relocations; non-recurring items represent expenses driven by events that are typically one-time, non-operational in nature, and unrelated to our core operations.",
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      "text": "THREE MONTHS ENDED JUNE 30, % of Revenue SIX MONTHS ENDED JUNE 30, % of Revenue $ THOUSANDS 2023 2022 $ % 2023 2022 2023 2022 $ % 2023 2022 Cash Flow from Operations $12,037 $15,481 ($3,444) (22%) 20% 28% $26,994 $29,114 ($2,120) (7%) 22% 28% Cash interest 3,616 2,579 $1,037 40% 6% 5% 7,091 4,350 $2,741 63% 6% 4% Transaction, integration, and restructuring expenses paid in cash 3,430 1,185 $2,245 >100% 6% 2% 5,863 2,495 $3,368 >100% 5% 2% Payment of earnout in cash from operations - - $0 (100%) 0% 0% - 6,400 ($6,400) (100%) 0% 6% Other non-recurring Items 600 1,259 ($659) (52%) 1% 2% 1,876 3,436 ($1,560) (45%) 2% 3% Purchases of property, equipment and other assets (740) (783) $43 (5%) (1%) (1%) (2,078) (1,577) ($501) 32% (2%) (2%) Unlevered Free Cash Flow $18,943 $19,721 ($778) (4%) 31% 36% $39,746 $44,218 ($4,472) (10%) 33% 42% Revenue 60,957 54,548 6,409 12% 120,158 104,672 15,486 15% Unlevered Free Cash Flow Margin 31% 36% 33% 42%",
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