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  "documentTitle": "CubeSmart | Investor Presentation Deck | 30 slides",
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  "authorName": "CubeSmart",
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  "sourceTypeLabel": "Investor relations",
  "presentationDate": "2023-05-01 00:00:00",
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      "text": "Debt Maturity Schedule¹ (000's)\n600,000\n400,000\n200,000\n30,625\n32,049\n300,000\n336,347\n61,400\n550,000\n404,300\n350,000\n450,000\n500,000\n2023 2024 2025 2026 2027 2028 2029 2030 2031 2032\nSecured Debt\nUnsecured Debt\nUnsecured revolving credit facility",
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      "text": "Existing Sources of Capital\n$788.6M of remaining capacity on revolving credit facility¹\nRetained free cash flow",
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      "text": "Access to Capital\nProven ability to access a variety of sources of capital\nRaised $6.4 billion since 2010\nCommon Equity: Raised $2.5 billion of net proceeds\nUnsecured Senior Notes: Raised $3.4 billion through ten unsecured senior note issuances\nCredit Facility: $850 million revolving line of credit\nBank Debt: Raised $500 million in term loans (since repaid)\nPreferred Equity: Raised $77.5 million in preferred equity (since redeemed)",
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      "text": "Capital Needs & Liquidity\nAmple liquidity to manage near-term capital needs\nCapital Needs: $95.0M through 2024¹\n$32.3M of remaining development commitments\n$62.7M of debt maturities",
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      "text": "1. As of March 31, 2023",
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