b'STAATSOLIE MAATSCHAPPIJ SURINAME N.V.NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS FOR THE YEAR ENDED DECEMBER 31, 2021 (Continued)FOR THE YEAR ENDED DECEMBER 31, 2021Corporate - (X US$ 1,000) UpstreamDownstream Goldmining Corporate Total adjustmentsConsolidated onshoresegments&eliminationsRevenue External customers -512,205 45,650-557,855-557,855Inter segment crude 324,054 (324,054)- - - - - Inter segment other-138,948- -138,948 (138,948)- Total revenue 324,054 327,099 45,650 - 696,803 (138,948)557,855 Income/(expenses) DepreciationofPPE (37,928) (63,317) (2,984) (758) (104,987)-(104,987)Depreciation of right-of-use(1,041) (626)-(585) (2,252)-(2,252)assets Impairment of non-current6,444 9,224-206 15,874-15,874assetsAmortizationofIntangible (650) (114)-(879) (1,643)-(1,643)assetsAccretion expense on(4,470) (1,433)- -(5,903)-(5,903)provisionsInterestonleaseliabilities-(110)-(430) (540)-(540)Financeincome(expenses)-2,402 (330) (48,530) (46,458)-(46,458)(excludingAccretion)Shareofprofitof - -79,338-79,338-79,338SurinameGoldProjectCVEBITDA266,627 75,638 112,097 (53,978)400,384 (13,327)387,057 Segment profit (loss) (before tax) from228,983 21,662 80,339 (104,952)226,032 (13,327)212,705 continuing operationsIncome tax expense -(10,189)-(83,018) (93,207)-(93,207)Segment profit (loss) (after tax) from228,983 11,473 80,339 (187,970)132,825 (13,327)119,498 continuing operationsTotal assets 602,930 1,049,153 291,217 600,553 2,543,853 (221,960)2,321,893 Other disclosures Investmentproperties- - -18,836 18,836-18,836InvestmentsinSuriname- -241,949-241,949-241,949GoldProjectCVCapital expenditure73,371 32,077 7,737 1,616 114,801-114,801102 STAATSOLIE 2021 ANNUAL REPORT'