b'STAATSOLIE MAATSCHAPPIJ SURINAME N.V.NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS FOR THE YEAR ENDED DECEMBER 31, 2019 (Continued)FOR THE YEAR ENDED DECEMBER 31, 2018Corporate - (X US$ 1,000) UpstreamDownstream Gold Corporate Total adjustmentsConsolidated mining segments&eliminationsRevenue External customers -505,773- -505,773-505,773Inter segment crude 335,065 (335,065)- - - - - Inter segment other-170,341- -170,341 (170,341)- Total revenue 335,065 341,049 - - 676,114 (170,341)505,773 Income/(expenses) DepreciationofPPE (37,838) (52,425)- -(90,263)-(90,263)Investmentproperties- - -(880) (880)-(880)-ImpairmentAmortizationofIntangible- - -(1,004) (1,004)-(1,004)assetsAccretion expense on(6,658) (928)- -(7,586)-(7,586)provisionsFinanceincome/expenses-(2,887)-(76,564) (79,451)-(79,451)(excluding Accretion)Shareofprofitof - -66,268-66,268-66,268SurinameGoldProjectJVEBITDA260,760 31,504 92,722 (18,880)366,106 (12,644)353,462 Segment profit (loss)216,265 (24,446)66,268 (96,739)161,348 (12,644)148,704 (before tax) Income tax expense -(5,435)-(42,962) (48,397)-(48,397)Segment net profit 216,265 (29,881)66,268 (139,701)112,951 (12,644)100,307 (loss) for the yearTotal assets* 567,255 1,258,859 282,997 518,405 2,627,516 (438,978)2,188,538 Other disclosures Investmentproperties- - -16,882 16,882-16,882InvestmentsinSuriname- -282,997-282,997-282,997GoldProjectJVCapital expenditure 112,735 5,684-1,016 119,435-119,435*2018 restated figures described in Section 2.5 Restatements67'