Interesting to note the movement in non-controlling interest - what could have caused this?
Accumulated losses took a dip in 2012 and then a big increase in 2013 - what could have caused this?
It appears that there was change in the business introduced in 2012 that increased equity, and then radically decreased it again in 2013. What was this?
These are some key questions that I've discovered after looking at these figures. I shall explore them in more detail later.