{
  "docId": "019de074-0149-7457-ae62-5a294cd5b050",
  "docSlug": "fed29244f1a7afd37bb058172f26b056",
  "documentTitle": "Kalera | Results Presentation Deck | 15 slides",
  "authorId": "kalera",
  "authorName": "Kalera",
  "documentKindSlug": "conference-presentation",
  "documentKindLabel": "Conference presentation",
  "sourceTypeSlug": "investor_relations",
  "sourceTypeLabel": "Investor relations",
  "presentationDate": "2022-11-01 00:00:00",
  "orientation": "landscape",
  "aspectRatio": 1.7777778,
  "pageNumber": 8,
  "pageCount": 15,
  "prevPage": 7,
  "nextPage": 9,
  "slideType": "appendix_data",
  "function": "analyze_data",
  "density": "balanced",
  "nDataPoints": 4,
  "notes": "The slide uses a process-style flow to show the summation of non-cash items.",
  "elementsJson": null,
  "metadataConfidence": 1,
  "imagePath": null,
  "slideHref": "/slides/019de074-0149-7457-ae62-5a294cd5b050/8",
  "deckHref": "/decks/019de074-0149-7457-ae62-5a294cd5b050",
  "deckJsonHref": "/decks/019de074-0149-7457-ae62-5a294cd5b050.json",
  "deckAnchorHref": "/decks/019de074-0149-7457-ae62-5a294cd5b050#slide-8",
  "components": [
    {
      "bbox": {
        "h": 0.03,
        "w": 0.15,
        "x": 0.06,
        "y": 0.2
      },
      "kind": "subtitle",
      "text": "($ in thousands)",
      "attrs": null,
      "subkind": null,
      "toolName": null,
      "toolSlug": null,
      "confidence": null,
      "componentId": "57a8fab8-dc69-40ae-8ec6-2ad85be4cd2e",
      "frameworkName": null,
      "frameworkSlug": null
    },
    {
      "bbox": {
        "h": 0.6,
        "w": 0.9,
        "x": 0.05,
        "y": 0.28
      },
      "kind": "table",
      "text": "Stock Options ($540) Stock Options non-cash expense; Assets Impairment ($2,252) One-time non-cash expense of $2.3 million for assets impairment; CVRs and Warrants Change in Fair Value $19,777 Change in fair market value; Total Impact $16,985",
      "attrs": null,
      "subkind": "data",
      "toolName": null,
      "toolSlug": null,
      "confidence": null,
      "componentId": "c89be4e5-ddd6-4971-84de-b140949c0a8f",
      "frameworkName": null,
      "frameworkSlug": null
    },
    {
      "bbox": {
        "h": 0.06,
        "w": 0.48,
        "x": 0.045,
        "y": 0.11
      },
      "kind": "title",
      "text": "Non-Cash Items During Q3-2022",
      "attrs": null,
      "subkind": "headline",
      "toolName": null,
      "toolSlug": null,
      "confidence": null,
      "componentId": "c4ca2119-d1f2-401a-a5ff-d00bb647030a",
      "frameworkName": null,
      "frameworkSlug": null
    }
  ],
  "metrics": [],
  "tools": [],
  "frameworks": [],
  "arcBeats": [
    {
      "to": 10,
      "from": 6,
      "beatId": "3661674d-a686-4efc-ba0b-2f858e3f016a",
      "arcName": "Monroe's Motivated Sequence",
      "arcSlug": "monroes-sequence",
      "beatName": "Satisfaction",
      "beatSlug": "monroes-sequence-satisfaction",
      "evidence": "presenting financial results and progress towards goals",
      "position": 2,
      "confidence": 0.8,
      "parentBeatName": "Turn",
      "parentBeatSlug": "turn"
    }
  ],
  "loops": [
    {
      "to": 10,
      "from": 4,
      "name": "Cost Of Inaction",
      "slug": "27-cost-of-inaction",
      "bestFor": "Urgent budget requests, compliance, risk mitigation",
      "matchId": "e1d91630-8efe-46a4-8a9c-463581dafb4f",
      "evidence": "emphasis on importance of achieving cash flow break-even",
      "position": 0,
      "objective": "What are the consequences of not achieving cash flow break-even?",
      "structure": "The Status Quo -> The Hidden Costs Accumulating -> The Future State of Inaction -> The Tipping Point",
      "confidence": 0.6,
      "description": "Quantify what happens if the audience does nothing"
    },
    {
      "to": 9,
      "from": 6,
      "name": "Hypothesis Test",
      "slug": "42-hypothesis-test",
      "bestFor": "Strategy validation, due diligence, research presentations",
      "matchId": "28cf7282-3e33-4de4-8fef-deda2a7cdce4",
      "evidence": "presentation of financial data to support the hypothesis",
      "position": 1,
      "objective": "How do financial results support the hypothesis of achieving cash flow break-even?",
      "structure": "The Hypothesis -> Test 1 (Supports/Refutes) -> Test 2 (Supports/Refutes) -> Conclusion (Validated/Pivoted)",
      "confidence": 0.6,
      "description": "State a hypothesis upfront, then systematically prove or disprove it with evidence"
    }
  ],
  "imagePathAlt": null,
  "thumbSrc": null,
  "thumbSrcAlt": null,
  "locked": true
}