{
  "docId": "019de510-ed8f-734e-b256-172a454e7d1c",
  "docSlug": "0844c2059a39f4c377df6f481d479246",
  "documentTitle": "NuStar Energy | Investor Conference Presentation Deck | 39 slides",
  "authorId": "nustar-energy",
  "authorName": "NuStar Energy",
  "documentKindSlug": "conference-presentation",
  "documentKindLabel": "Conference presentation",
  "sourceTypeSlug": "investor_relations",
  "sourceTypeLabel": "Investor relations",
  "presentationDate": "2021-05-01 00:00:00",
  "orientation": "landscape",
  "aspectRatio": 1.3333334,
  "pageNumber": 35,
  "pageCount": 39,
  "prevPage": 34,
  "nextPage": 36,
  "slideType": "kpi_overview",
  "function": "analyze_data",
  "density": "overcrowded",
  "nDataPoints": 11,
  "notes": "Includes a visual representation of liquidity (cash + revolver availability) alongside a bar chart of debt maturities.",
  "elementsJson": null,
  "metadataConfidence": 1,
  "imagePath": null,
  "slideHref": "/slides/019de510-ed8f-734e-b256-172a454e7d1c/35",
  "deckHref": "/decks/019de510-ed8f-734e-b256-172a454e7d1c",
  "deckJsonHref": "/decks/019de510-ed8f-734e-b256-172a454e7d1c.json",
  "deckAnchorHref": "/decks/019de510-ed8f-734e-b256-172a454e7d1c#slide-35",
  "components": [
    {
      "bbox": {
        "h": 0.4,
        "w": 0.25,
        "x": 0.08,
        "y": 0.4
      },
      "kind": "chart",
      "text": "Liquidity chart showing cash and revolver availability",
      "attrs": null,
      "subkind": "bar-vertical",
      "toolName": null,
      "toolSlug": null,
      "confidence": null,
      "componentId": "b9c2db6e-4d55-4436-926e-88322abef72b",
      "frameworkName": null,
      "frameworkSlug": null
    },
    {
      "bbox": {
        "h": 0.5,
        "w": 0.96,
        "x": 0.02,
        "y": 0.38
      },
      "kind": "chart",
      "text": "Debt Maturities chart showing values for 2022, 2023, 2025, 2026, 2027, 2030, 2038, 2043",
      "attrs": null,
      "subkind": "bar-vertical",
      "toolName": null,
      "toolSlug": null,
      "confidence": null,
      "componentId": "c80400ba-fafa-4627-800e-53ab802464c2",
      "frameworkName": null,
      "frameworkSlug": null
    },
    {
      "bbox": {
        "h": 0.15,
        "w": 0.96,
        "x": 0.02,
        "y": 0.17
      },
      "kind": "list",
      "text": "In March 2020, we extended our revolver term through October 2023; In September 2020, we issued two $600 million tranches of five-year and 10-year senior unsecured notes maturing in 2025 and 2030; We utilized the proceeds to repay our debt; We utilized cash flows and our revolver to pay-off our February 2021 bond maturities, and we plan to utilize our liquidity to pay-off our February 2022 bond maturities as well",
      "attrs": null,
      "subkind": "bullet",
      "toolName": null,
      "toolSlug": null,
      "confidence": null,
      "componentId": "d38221d8-9e1e-4e7e-ab04-d010d8d6e96d",
      "frameworkName": null,
      "frameworkSlug": null
    },
    {
      "bbox": {
        "h": 0.2,
        "w": 0.25,
        "x": 0.73,
        "y": 0.38
      },
      "kind": "other",
      "text": "Legend for debt types",
      "attrs": null,
      "subkind": "unclassified",
      "toolName": null,
      "toolSlug": null,
      "confidence": null,
      "componentId": "aa97490d-8132-408c-91c0-2d5ddc208b93",
      "frameworkName": null,
      "frameworkSlug": null
    },
    {
      "bbox": {
        "h": 0.03,
        "w": 0.3,
        "x": 0.02,
        "y": 0.95
      },
      "kind": "source-note",
      "text": "1 – Liquidity as of March 31, 2021",
      "attrs": null,
      "subkind": null,
      "toolName": null,
      "toolSlug": null,
      "confidence": null,
      "componentId": "6d67e8d4-b086-48d1-b1c9-420a842b8ec1",
      "frameworkName": null,
      "frameworkSlug": null
    },
    {
      "bbox": {
        "h": 0.05,
        "w": 0.5,
        "x": 0.21,
        "y": 0.04
      },
      "kind": "title",
      "text": "Liquidity and Debt Maturity Schedule",
      "attrs": null,
      "subkind": "headline",
      "toolName": null,
      "toolSlug": null,
      "confidence": null,
      "componentId": "657739a4-b7c9-4bdb-8397-36b0e80dd90e",
      "frameworkName": null,
      "frameworkSlug": null
    }
  ],
  "metrics": [],
  "tools": [
    {
      "name": "Waterfall chart",
      "slug": "waterfall-chart",
      "agent": null,
      "layer": "slide",
      "matchId": "e4e06050-eefc-42f8-b694-ddb3e9ac34ce",
      "evidence": "chart/bar-vertical: Debt Maturities chart showing values for 2022, 2023, 2025, 2026, 2027, 2030, 2038, 2043",
      "confidence": 0.8
    }
  ],
  "frameworks": [],
  "arcBeats": [],
  "loops": [],
  "imagePathAlt": null,
  "thumbSrc": null,
  "thumbSrcAlt": null,
  "locked": true
}