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  "documentTitle": "NuStar Energy | Investor Conference Presentation Deck | 36 slides",
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  "authorName": "NuStar Energy",
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  "presentationDate": "2021-12-01 00:00:00",
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      "kind": "list",
      "text": "As of September 30, 2021:\nCredit facility availability ~$907MM\nDebt-to-EBITDA ratio³ 4.10x",
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      "kind": "source-note",
      "text": "1 - On November 1, 2021, we redeemed $250 million of 4.75% senior notes due February 1,2022\n2 - Total Equity includes Partners' and Mezzanine Equity (Series D Preferred Units)\n3 - Please see Appendix for reconciliations of non-GAAP financial measures to their most directly comparable GAAP measures",
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      "text": "$1.0B Credit Facility $ 88\nNuStar Logistics Notes (4.75%)¹ 250\nNuStar Logistics Notes (5.625%) 550\nNuStar Logistics Notes (5.75%) 600\nNuStar Logistics Notes (6.00%) 500\nNuStar Logistics Notes (6.375%) 600\nNuStar Logistics Sub Notes 403\nGO Zone Bonds 322\nReceivables Financing 75\nFinance Lease Liability 52\nOther (39)\nTotal Debt $3,401\nCommon Equity and AOCI $229\nSeries A, B and C Preferred Units $756\nSeries D Preferred Units $612\nTotal Equity² 1,597\nTotal Capitalization $4,998",
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      "kind": "title",
      "text": "Capital Structure as of September 30, 2021 ($ in Millions)",
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