{
  "docId": "019de076-5515-71ce-9c5d-f0a279a820c9",
  "docSlug": "82c559baddfcd87fde13326a76c05bcb",
  "documentTitle": "Main Street Capital | Investor Presentation Deck | 49 slides",
  "authorId": "main-street-capital",
  "authorName": "Main Street Capital Corporation",
  "documentKindSlug": "pitchdeck",
  "documentKindLabel": "Pitch deck",
  "sourceTypeSlug": "investor_relations",
  "sourceTypeLabel": "Investor relations",
  "presentationDate": "2023-11-01 00:00:00",
  "orientation": "landscape",
  "aspectRatio": 1.3333334,
  "pageNumber": 43,
  "pageCount": 49,
  "prevPage": 42,
  "nextPage": 44,
  "slideType": "appendix_data",
  "function": "analyze_data",
  "density": "overcrowded",
  "nDataPoints": 10,
  "notes": "The chart displays debt maturity by year, categorized by instrument type (SBIC debentures, Credit Facilities, and various Notes).",
  "elementsJson": null,
  "metadataConfidence": 1,
  "imagePath": null,
  "slideHref": "/slides/019de076-5515-71ce-9c5d-f0a279a820c9/43",
  "deckHref": "/decks/019de076-5515-71ce-9c5d-f0a279a820c9",
  "deckJsonHref": "/decks/019de076-5515-71ce-9c5d-f0a279a820c9.json",
  "deckAnchorHref": "/decks/019de076-5515-71ce-9c5d-f0a279a820c9#slide-43",
  "components": [
    {
      "bbox": {
        "h": 0.55,
        "w": 0.65,
        "x": 0.28,
        "y": 0.18
      },
      "kind": "chart",
      "text": "Debt maturity schedule by year and instrument type",
      "attrs": null,
      "subkind": "bar-stacked",
      "toolName": null,
      "toolSlug": null,
      "confidence": null,
      "componentId": "ef0b950e-91c2-4f8c-a9a2-909df33b5d1d",
      "frameworkName": null,
      "frameworkSlug": null
    },
    {
      "bbox": {
        "h": 0.1,
        "w": 0.9,
        "x": 0.05,
        "y": 0.85
      },
      "kind": "disclaimer",
      "text": "(1) The defined term and additional details for the Credit Facilities are included on page 42\n(2) Issued in April 2019; with follow-on issuances in December 2019 and July 2020; redeemable at MAIN’s option at any time, subject to certain make-whole provisions\n(3) Issued in December 2022; with a follow-on issuance in February 2023; redeemable at MAIN’s option at any time, subject to certain make-whole provisions\n(4) Issued in January 2021; with a follow-on issuance in October 2021; redeemable at MAIN’s option at any time, subject to certain make-whole provisions",
      "attrs": null,
      "subkind": null,
      "toolName": null,
      "toolSlug": null,
      "confidence": null,
      "componentId": "e660c683-7d36-4ef4-aa21-c12c08ddec52",
      "frameworkName": null,
      "frameworkSlug": null
    },
    {
      "bbox": {
        "h": 0.05,
        "w": 0.5,
        "x": 0.35,
        "y": 0.72
      },
      "kind": "legend",
      "text": "SBIC debentures; Credit Facilities; May 2024 Notes; December 2025 Notes; July 2026 Notes",
      "attrs": null,
      "subkind": null,
      "toolName": null,
      "toolSlug": null,
      "confidence": null,
      "componentId": "3d4d1daf-18b5-4fba-a190-f65ef944955c",
      "frameworkName": null,
      "frameworkSlug": null
    },
    {
      "bbox": {
        "h": 0.3,
        "w": 0.25,
        "x": 0.05,
        "y": 0.35
      },
      "kind": "list",
      "text": "Allows for investments in assets with long-term holding periods / illiquid positions and greater yields and overall returns\nProvides downside protection and liquidity through economic cycles\nAllows MAIN to be opportunistic during periods of economic uncertainty",
      "attrs": null,
      "subkind": "bullet",
      "toolName": null,
      "toolSlug": null,
      "confidence": null,
      "componentId": "ebbb67d2-b4ad-4e69-959f-11454fce1517",
      "frameworkName": null,
      "frameworkSlug": null
    },
    {
      "bbox": {
        "h": 0.15,
        "w": 0.25,
        "x": 0.05,
        "y": 0.18
      },
      "kind": "paragraph",
      "text": "MAIN’s conservative capital structure provides long-term access to attractively-priced and structured debt facilities",
      "attrs": null,
      "subkind": "paragraph",
      "toolName": null,
      "toolSlug": null,
      "confidence": null,
      "componentId": "02ce6c50-0a72-4716-a786-3f06a998f7f0",
      "frameworkName": null,
      "frameworkSlug": null
    },
    {
      "bbox": {
        "h": 0.05,
        "w": 0.5,
        "x": 0.05,
        "y": 0.1
      },
      "kind": "title",
      "text": "Long-term Maturity of Debt Obligations",
      "attrs": null,
      "subkind": "headline",
      "toolName": null,
      "toolSlug": null,
      "confidence": null,
      "componentId": "b858f793-a7a9-4008-b36c-a2571daf2e43",
      "frameworkName": null,
      "frameworkSlug": null
    }
  ],
  "metrics": [],
  "tools": [],
  "frameworks": [],
  "arcBeats": [],
  "loops": [],
  "imagePathAlt": null,
  "thumbSrc": null,
  "thumbSrcAlt": null,
  "locked": true
}