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      "text": "Free Cash Flow (Non-GAAP) FY19: $3.1B, FY20: $4.3B, FY21: $4.7B, FY22: $8.0B, FY23: $3.8B, YTD FY24: $15.7B",
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      "text": "Capital Allocation\nShare Repurchase\n$10B repurchased in FY23\n$25.2B Remaining Authorization as of end of Q3\nDividend\n$398M in FY 2023\nPlan to Maintain¹\nStrategic Investments\nGrowing Our Talent\nPlatform Reach & Ecosystem",
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      "text": "Fiscal year ends in January. Refer to Appendix for reconciliation of Non-GAAP measures. Subject to continuing determination by our Board of Directors.",
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