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Sonic Corporation for fiscal 2019 had Total Cash Flow from Operations of $3458.6m, which was after interest expense of $463m. Depreciation expense was $891.5m and

Sonic Corporation for fiscal 2019 had Total Cash Flow from Operations of $3458.6m, which was after interest expense of $463m. Depreciation expense was $891.5m and Capital Expenditure was $1067.85m. Sonic paid a dividend of $911.7m. What was the Levered Free Cash Flow before the dividend?

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$2390.75

$3282.25

$1479.05

$3745.25

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