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  "presentationDate": "2023-08-01 00:00:00",
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      "text": "Consolidated Statements of Cash Flow Data (in thousands of US dollars) For the six months ended June 30, 2023 $, 2022 $ Cash flow from (used in) financing activities Shares repurchased and cancelled (56,042) (109,158) Transaction costs from issuance of shares - (626) Proceeds from exercise of stock options 6,399 1,129 Repayment of loans and borrowings (76,560) (2,560) Proceeds from loans and borrowings 852,000 - Transaction costs related to loans and borrowings (14,650) - Payment of lease liabilities (2,622) (1,682) Purchase of non-controlling interest - (39,751) Dividend paid by subsidiary to non-controlling interest - (260) 708,525 (152,908) Effect of movements in exchange rates on cash 39 (10,785) Net decrease in cash and cash equivalents (633,304) (26,956) Cash and cash equivalents - Beginning of period 751,686 748,576 Cash and cash equivalents - End of period 118,382 721,620",
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      "text": "Consolidated Statements of Cash Flow Data (cont'd)",
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