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      "kind": "metric",
      "text": "Long-Term Debt\n(Net of current portion and\ndeferred debt issuance costs)\n$649.0 MM\nvs $654.3 MM\nDecember 31, 2023 compared to\nDecember 31, 2022",
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      "text": "Inventory\n$95.9 MM\nvs $144.4 MM\nDecember 31, 2023 compared to\nDecember 31, 2022",
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      "text": "Cash and\nCash Equivalents, and Cash\nFlows from Operations\nCash Flows from Operations\n$177.5 MM\nvs $255.3 MM\n12 months ended December 31, 2023 compared to\n12 months ended December 31, 2022\nCash and Cash Equivalents\n$466.4 MM\nvs $322.8 MM\nDecember 31, 2023 compared to\nDecember 31, 2022",
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      "text": "Q4 2023 EARNINGS",
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      "text": "OLAPLEX.",
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      "text": "YEAR END 2023 FINANCIAL POSITION",
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