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      "text": "($ in millions) FY2020 FY2021 FY2022 TTM 6/30/22 TTM 6/30/23 Q2 2021 Q2 2022 Q2 2023 Net cash provided by operating activities $53 $65 $90 $43 $60 $34 $19 $12 Less: Cash paid for purchases of equipment and leasehold improvements (4) (10) (8) (7) (7) (2) (1) (1) Free cash flow 48 55 82 36 54 32 18 11 Add: Cash paid for interest 13 1 1 1 1 Cash paid for acquisition-related expense 5 5 4 6 4 1 1 1 Cash paid for system transformation costs 2 1 Cash paid for contingent consideration 6 Cash paid for legal settlement 5 5 Unlevered free cash flow $66 $66 $88 $48 $67 $33 $19 $13 Total revenue $269 $366 $479 $423 $522 $86 $116 $135 Net cash provided by operating activities as a percentage of total revenue 20% 18% 19% 10% 12% 39% 17% 9% Free cash flow margin 18% 15% 17% 9% 10% 37% 16% 8% Unlevered free cash flow margin 25% 18% 18% 11% 13% 38% 17% 10%",
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