{
  "docId": "019de073-ca04-758e-9059-c4cae327de81",
  "docSlug": "6a8f118cf667e1b9e8909aa9755b7086",
  "documentTitle": "Lindsay Corporation | Results Presentation Deck | 17 slides",
  "authorId": "lindsay-corporation",
  "authorName": "Lindsay Corporation",
  "documentKindSlug": "conference-presentation",
  "documentKindLabel": "Conference presentation",
  "sourceTypeSlug": "investor_relations",
  "sourceTypeLabel": "Investor relations",
  "presentationDate": "2022-10-01 00:00:00",
  "orientation": "landscape",
  "aspectRatio": 1.3333334,
  "pageNumber": 13,
  "pageCount": 17,
  "prevPage": 12,
  "nextPage": 14,
  "slideType": "revenue_buildup",
  "function": "show_valuation_bridge",
  "density": "dense",
  "nDataPoints": 9,
  "notes": "The chart is a classic cash flow bridge/waterfall.",
  "elementsJson": null,
  "metadataConfidence": 1,
  "imagePath": null,
  "slideHref": "/slides/019de073-ca04-758e-9059-c4cae327de81/13",
  "deckHref": "/decks/019de073-ca04-758e-9059-c4cae327de81",
  "deckJsonHref": "/decks/019de073-ca04-758e-9059-c4cae327de81.json",
  "deckAnchorHref": "/decks/019de073-ca04-758e-9059-c4cae327de81#slide-13",
  "components": [
    {
      "bbox": {
        "h": 0.55,
        "w": 0.65,
        "x": 0.2,
        "y": 0.35
      },
      "kind": "chart",
      "text": "Allocation History",
      "attrs": null,
      "subkind": "waterfall-bridge",
      "toolName": null,
      "toolSlug": null,
      "confidence": null,
      "componentId": "705a1598-42e9-4462-b55e-2c3945f82c5d",
      "frameworkName": null,
      "frameworkSlug": null
    },
    {
      "bbox": {
        "h": 0.2,
        "w": 0.6,
        "x": 0.03,
        "y": 0.15
      },
      "kind": "list",
      "text": "The Company's prioritization for cash use: Working capital to support organic growth, New product development, Capital expenditures, Acquisitions, Dividend payments, Opportunistic share repurchases",
      "attrs": null,
      "subkind": "bullet",
      "toolName": null,
      "toolSlug": null,
      "confidence": null,
      "componentId": "e6ecbf88-09e9-45b4-a3cf-e3e43bfc74b5",
      "frameworkName": null,
      "frameworkSlug": null
    },
    {
      "bbox": {
        "h": 0.05,
        "w": 0.6,
        "x": 0.2,
        "y": 0.9
      },
      "kind": "source-note",
      "text": "(1) Other includes debt repayments, net cash sources/uses from note receivables, net investment hedges, stock compensation and related tax benefits. (2) Ending cash includes marketable securities.",
      "attrs": null,
      "subkind": null,
      "toolName": null,
      "toolSlug": null,
      "confidence": null,
      "componentId": "f36aca70-6d7a-40cc-ad10-8c63f3e29c97",
      "frameworkName": null,
      "frameworkSlug": null
    },
    {
      "bbox": {
        "h": 0.05,
        "w": 0.45,
        "x": 0.03,
        "y": 0.04
      },
      "kind": "title",
      "text": "Capital Allocation – A Balanced Approach",
      "attrs": null,
      "subkind": "headline",
      "toolName": null,
      "toolSlug": null,
      "confidence": null,
      "componentId": "5cda854d-e1c6-4d57-9437-6ac8d97f9ba4",
      "frameworkName": null,
      "frameworkSlug": null
    }
  ],
  "metrics": [],
  "tools": [
    {
      "name": "Waterfall / value bridge",
      "slug": "waterfall-bridge",
      "agent": null,
      "layer": "slide",
      "matchId": "a0287f98-bb7e-452a-81d6-a6fe85fc6937",
      "evidence": "Allocation History",
      "confidence": 0.7
    }
  ],
  "frameworks": [
    {
      "name": "capital-allocation-framework",
      "slug": null,
      "matchId": "0a5005d2-7531-470f-8539-4a6f7246ffbc",
      "evidence": "The slide explicitly outlines the company's prioritization for cash use.",
      "confidence": 1
    }
  ],
  "arcBeats": [
    {
      "to": 13,
      "from": 11,
      "beatId": "0d07534d-18e2-4474-81b9-c274da959dca",
      "arcName": "Monroe's Motivated Sequence",
      "arcSlug": "monroes-sequence",
      "beatName": "Visualization",
      "beatSlug": "monroes-sequence-visualization",
      "evidence": "The presentation provides a summary of the company's balance sheet, cash flow, and capital allocation strategy, allowing the audience to visualize its financial situation.",
      "position": 3,
      "confidence": 0.8,
      "parentBeatName": "Evidence",
      "parentBeatSlug": "evidence"
    }
  ],
  "loops": [
    {
      "to": 13,
      "from": 3,
      "name": "Logic Chain",
      "slug": "01-logic-chain",
      "bestFor": "Skeptical audiences, controversial recommendations, rigorous analysis",
      "matchId": "6435cfd7-4a13-4107-a2d1-a8922d17ccf3",
      "evidence": "The presentation provides a logical sequence of financial data and highlights the company's strategy for growth.",
      "position": 0,
      "objective": "To demonstrate the company's financial performance and its ability to drive growth",
      "structure": "Premise 1 (Accepted truth) -> Premise 2 (Observed fact) -> Therefore... (Inevitable conclusion)",
      "confidence": 0.7,
      "description": "Build an airtight chain of logic where each premise leads inevitably to the conclusion"
    }
  ],
  "imagePathAlt": null,
  "thumbSrc": null,
  "thumbSrcAlt": null,
  "locked": true
}