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, 2020Corporate - (X US$ 1,000) UpstreamDownstream Goldmining Corporate Total adjustmentsConsolidated onshoresegments&eliminationsRevenue External customers -383,368 44,568-427,936-427,936Inter segment crude 180,541 (180,541)- - - - - Inter segment other-104,851- -104,851 (104,851)- Total revenue 180,541 307,678 44,568 - 532,787 (104,851)427,936 Income/(expenses) DepreciationofPPE (45,137) (60,042) (4,779) (1,061) (111,019)-(111,019)Depreciation of right-of-use(1,433) (690)-(683) (2,806)-(2,806)assets Impairment of non-current(7,348) (9,233)-(206) (16,787)-(16,787)assetsAmortizationofIntangible (193) (137)-(742) (1,072)-(1,072)assetsAccretion expense on(9,028) (514)- -(9,542)-(9,542)provisionsInterestonleaseliabilities-(65)-(760) (825)-(825)Financeincome(expenses)-5,787-(52,128) (46,341)-(46,341)(excludingAccretion)Shareofprofitof - -85,411-85,411-85,411SurinameGoldProjectCVEBITDA119,623 96,569 134,687 4,388 355,267 (39,072)316,195 Segment profit (loss) (before tax) from56,486 31,676 100,105 (51,191)137,076 (39,072)98,004 continuing operationsIncome tax expense -(14,938) (4,761) (7,119) (26,818)-(26,818)Segment profit (loss) (after tax) from56,486 17,567 95,344 (58,308)111,089 (39,072)72,017 continuing operationsTotal assets 756,950 1,093,924 327,577 477,161 2,655,612 (307,769)2,347,843 Other disclosures Investmentproperties- - -16,882 16,882-16,882InvestmentsinSuriname- -260,877-260,877-260,877GoldProjectCVCapital expenditure66,256 38,833 34,000 58,251 197,340-197,340103'