b'STAATSOLIE MAATSCHAPPIJ SURINAME N.V.NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS FOR THE YEAR ENDED DECEMBER 31, 2020 (Continued)FOR THE YEAR ENDED DECEMBER 31, 2019Corporate - (X US$ 1,000) UpstreamDownstream Gold Corporate Total adjustmentsConsolidated mining segments&eliminationsRevenue External customers -499,726- -499,726-499,726Inter segment crude 291,325 (291,325)- - - - - Inter segment other-156,959- -156,959 (156,959)- Total revenue 291,325 365,360 - - 656,685 (156,959)499,726 Income/(expenses) DepreciationofPPE (43,030) (50,325)- (544) (93,899)-(93,899)Depreciation of leases (1,074) (476)-(499) (2,049)-(2,049)AmortizationofIntangible-(61)-(1,032) (1,093)-(1,093)assetsAccretion expense on(5,635) (755)- -(6,390)-(6,390)provisionsInterest on lease liabilities (338) (185)-(181) (704)-(704)Finance income (expenses) -3,176-(59,477) (56,301)-(56,301)(excluding Accretion)Shareofprofitof - -74,431-74,431-74,431SurinameGoldProjectCVEBITDA228,808 59,500 101,273 (7,264)382,317 (14,539)367,778 Segment profit (loss)178,731 10,875 74,431 (68,999)195,038 (14,539)180,499 (before tax) Income tax expense -(8,816)-(51,612) (60,428)-(60,428)Segment net profit 178,731 2,060 74,431 (120,612)134,610 (14,539)120,071 (loss) for the yearTotal assets 810,768 1,330,493 263,960 611,916 3,017,137 (631,861)2,385,276 Other disclosures Investment properties - - -16,882 16,882-16,882Investments in Suriname - -263,960-263,960-263,960GoldProjectCVCapital expenditure 199,052 23,662-3,881 226,595-226,59581'