| Income Statement |
| Total Revenue | 4.83M |
|
| Revenues (USD) | 711.26K |
| Cost of Revenue | 2.67M |
| Gross Profit | 2.17M |
| Operating Expenses | 93.16M |
| Research and Development Expense | 3.00M |
| Selling, General and Administrative Expense | 36.94M |
| Operating Income | -91.00M |
| Interest Expense | 11.47M |
| Net Income | 220.92M |
| Net Income Common Stock | 220.92M |
| Net Income Common Stock (USD) | 32.52M |
| Consolidated Income | 220.11M |
| Net Income to Non-Controlling Interests | -802.00K |
| Earnings per Basic Share | 21.00 |
| Earnings per Basic Share (USD) | 3.09 |
| Earnings per Diluted Share | 21.00 |
| Earning Before Interest & Taxes (EBIT) | 232.38M |
| Earning Before Interest & Taxes (USD) | 34.21M |
| Weighted Average Shares | 3.17B |
| Weighted Average Shares Diluted | 3.17B |
| Balance Sheet |
| Cash and Equivalents | 12.73M |
| Cash and Equivalents (USD) | 1.87M |
| Investments | 900.58M |
| Investments Current | 796.90M |
| Investments Non-Current | 103.69M |
| Trade and Non-Trade Receivables | 12.05M |
| Current Assets | 857.33M |
| Property, Plant & Equipment Net | 29.85M |
| Total Assets | 993.08M |
| Debt Current | 206.54M |
| Total Debt | 212.06M |
| Current Liabilities | 334.05M |
| Debt Non-Current | 5.52M |
| Total Liabilities | 339.57M |
| Accumulated Retained Earnings (Deficit) | -4.45B |
| Accumulated Other Comprehensive Income | -11.93M |
| Shareholders Equity | 603.81M |
| Shareholders Equity (USD) | 88.88M |
| Assets Non-Current | 135.75M |
| Total Debt (USD) | 31.21M |
| Deferred Revenue | 2.82M |
| Deposit Liabilities | 5.98M |
| Goodwill and Intangible Assets | 2.22M |
| Liabilities Non-Current | 5.52M |
| Trade and Non-Trade Payables | 19.53M |
| Tax Liabilities | 1.37M |
| Cash Flow |
| Depreciation, Amortization & Accretion | 5.59M |
| Net Cash Flow from Financing | -7.22M |
| Net Cash Flow / Change in Cash & Cash Equivalents | -3.53M |
| Capital Expenditure | 506.00K |
| Net Cash Flow - Business Acquisitions and Disposals | -1.77M |
| Issuance (Repayment) of Debt Securities | -27.76M |
| Net Cash Flow from Investing | -1.27M |
| Net Cash Flow from Operations | 5.11M |
| Effect of Exchange Rate Changes on Cash | -147.00K |
| Share Based Compensation | 12.10M |