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      "text": "Note: Fiscal year ends on December 31 of each respective year. Numbers may not foot due to rounding.",
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      "text": "FY21 FY22 FY23 LTM (As of Q3'24) Q1'24 Q2'24 Q3'24 Revenue $514,821 $720,203 $950,010 $849,660 $269,428 $284,347 $295,885 Computation of free cash flow and free cash flow margin: Net cash (used in) provided by operating activities $36,730 $12,608 $92,015 $207,859 $69,145 $58,695 $39,276 Purchases of property and equipment (12,383) (15,782) (10,325) (9,762) (2,089) (1,874) (3,547) Capitalized software development costs (15,248) (33,648) (34,685) (41,951) (9,514) (10,218) (12,721) Non-GAAP free cash flow $9,099 $(36,822) $47,005 $156,146 $57,542 $46,603 $23,008 Non-GAAP free cash flow margin 2% (5%) 5% 18% 21% 16% 8%",
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