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EFTA01366777
March 2016 As of 31 December 2014 Assns Current easels: Cash and cash equivalents 574,215 574215 Restricted cash 451.016.278 463,203,240 Accouls repayable. net 93477,863 26.558,557 Deferred financing costs 3,434922 3434922 Mier currert assets 1.671,733 2414.720 Total current assets 4
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