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  "presentationDate": "2024-11-01 00:00:00",
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      "text": "¹Calculated as a percentage of GAAP reported revenue as of the respective period presented\nNote: minor rounding differences may exist in the figures presented",
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      "text": "Levered and Adjusted Unlevered Free Cash Flow ($ in 000s) Q3 2023 Q4 2023 Q1 2024 Q2 2024 Q3 2024 LTM Q3 2023 Q3 2024 Cash Flow from Operations $27,441 $36,018 $13,297 $23,919 $27,534 $95,778 $100,768 Adjusted for the Following: Purchase of PP&E (939) (897) (402) (634) (172) (2,551) (2,105) Capitalized Software Costs (5,242) (5,316) (4,432) (4,286) (4,353) (18,800) (18,387) Levered Free Cash Flow $21,260 $29,805 $8,463 $18,999 $23,009 $74,426 $80,276 LFCF Margin ¹ 12.2% 17.6% 5.0% 10.7% 13.1% 11.1% 11.6% Adjusted EBITDA $41,804 $43,079 $40,890 $41,215 $44,511 $147,722 $169,695 Adjusted for the Following: Transaction-related and Other Non-Recurring Costs (2,129) (4,510) (4,082) (3,802) (2,634) (9,195) (15,028) Purchase of PP&E (939) (897) (402) (634) (172) (2,551) (2,105) Capitalized Software Costs (5,242) (5,316) (4,432) (4,286) (4,353) (18,800) (18,387) Capitalized Commissions (2,182) (2,593) (2,127) (2,455) (1,895) (9,278) (9,070) Adjusted Unlevered Free Cash Flow $31,312 $29,763 $29,847 $30,038 $35,457 $107,896 $125,105 Adjusted aUFCF Margin ¹ 17.9% 17.6% 17.5% 16.9% 20.1% 16.2% 18.0%",
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      "text": "LFCF and aUFCF Reconciliations",
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