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  "authorName": "Summit Hotel Properties",
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      "text": "our ability to increase our dividend per share of common stock;\nthe state of the U.S. economy generally or in specific geographic regions in which we operate, and the effect of general economic conditions on the lodging industry and our business in particular;\nmarket trends in our industry, interest rates, real estate values and the capital markets;\nour business and investment strategy and, particularly, our ability to identify and complete hotel acquisitions and dispositions;\nour projected operating results;\nactions and initiatives of the U.S. government and changes to U.S. government policies and the execution and impact of such actions, initiatives and policies;\nour ability to manage our relationships with our management companies and franchisors;\nour ability to maintain our existing and future financing arrangements;\nchanges in the value of our properties;\nthe impact of and changes in governmental regulations, tax law and rates, accounting guidance and similar matters;\nour ability to satisfy the requirements for qualification as a REIT under the U.S. Tax Code;\nour ability to repay or refinance our indebtedness as it matures or becomes callable by lenders;\nthe availability of qualified personnel;\nour ability to make distributions to our stockholders in the future;\nthe general volatility of the market price of our securities; and\nthe degree and nature of our competition.",
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      "text": "Forward-looking statements are based on our beliefs, assumptions and expectations of our future performance, taking into account information currently available to us. You should not place undue reliance on these forward-looking statements. These beliefs, assumptions and expectations can change as a result of many possible events or factors, not all of which are known to us. These factors are discussed under \"Item 1A. Risk Factors\" in our Annual Report on Form 10-K for the year ended December 31, 2023, and in other documents we have filed with the Securities and Exchange Commission. If a change occurs, our business, financial condition, liquidity and results of operations may vary materially from those expressed in our forward-looking statements. Any forward-looking statement is effective only as of the date on which it is made. New risks and uncertainties arise over time, and it is not possible for us to predict those events or how they may affect us. Except as required by law we are not obligated to, and do not intend to, publicly update or revise any forward-looking statements, whether as a result of new information, future events or otherwise.",
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      "text": "We make forward-looking statements in this presentation that are subject to risks and uncertainties. These forward-looking statements include information about possible or assumed future results of our business, financial condition, liquidity, results of operations, plans, and objectives. When we use the words \"believe,\" \"expect,\" \"anticipate,\" \"estimate,\" \"plan,\" \"continue,\" \"intend,\" \"should,\" \"may,\" or similar expressions, we intend to identify forward-looking statements. Statements regarding the following subjects, among others, may be forward-looking by their nature:",
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      "text": "Additionally, this presentation contains certain unaudited historical and pro forma information and metrics which are based or calculated from historical data that is maintained or produced by Summit or third parties. This presentation contain statistics and other data that may have been obtained from, or compiled from, information made available by third-parties.",
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