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1485, 1693]}, {""text"": ""Total Capitalization $1,480,619.37"", ""bbox"": [306, 1701, 1486, 1748]}]}" +224/224.png,pro_doc_full_balance_sheet,224,224/224.pdf,224/224.xlsx,"{""img_file"": ""pro_doc_full_balance_sheet_224.png"", ""img_width"": 1654, ""img_height"": 2339, ""labels"": [{""text"": ""Bell-Pearson"", ""bbox_px"": [186.31, 171.0, 454.29, 218.17]}, {""text"": ""RESOURCES"", ""bbox_px"": [183.42, 407.21, 394.96, 443.25]}, {""text"": ""LIABILITIES AND OWNER'S INTEREST"", ""bbox_px"": [174.7, 1088.25, 787.38, 1129.41]}], ""values"": [{""text"": ""Immediate Funds $229,766.93"", ""bbox_px"": [224.4, 465.33, 1488.22, 510.66]}, {""text"": ""Temporary Investments $66,645.89"", ""bbox_px"": [223.71, 518.74, 1487.54, 564.08]}, {""text"": ""Net Receivables $97,578.88"", ""bbox_px"": [223.03, 572.15, 1486.86, 617.49]}, {""text"": ""Stocks $135,224.91"", ""bbox_px"": [222.35, 625.57, 1486.17, 670.9]}, {""text"": ""Advance Payments $14,553.62"", ""bbox_px"": [221.66, 678.98, 1485.49, 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1248.16]}, {""text"": ""Short-Term Debt $74,563.65"", ""bbox_px"": [213.79, 1250.32, 1477.66, 1301.57]}, {""text"": ""Total Immediate Liabilities $210,966.76"", ""bbox_px"": [254.48, 1306.54, 1476.69, 1357.06]}, {""text"": ""Extended Debt $249,606.78"", ""bbox_px"": [211.89, 1359.22, 1475.75, 1410.47]}, {""text"": ""Postponed Taxes $26,861.85"", ""bbox_px"": [210.95, 1412.63, 1474.83, 1463.88]}, {""text"": ""Aggregate Liabilities $487,435.39"", ""bbox_px"": [251.64, 1468.85, 1473.85, 1519.37]}, {""text"": ""Ordinary Shares ($0.01 par value) $171,643.57"", ""bbox_px"": [209.05, 1521.53, 1472.92, 1572.78]}, {""text"": ""Accumulated Profits $514,930.72"", ""bbox_px"": [208.11, 1574.94, 1471.98, 1626.19]}, {""text"": ""Total Equity Holders' Interest $686,574.29"", ""bbox_px"": [248.8, 1631.16, 1471.01, 1681.68]}, {""text"": ""TOTAL LIABILITIES AND EQUITY $1,174,009.68"", ""bbox_px"": [289.49, 1687.39, 1470.04, 1737.18]}]}","{""document"": ""pro_doc_full_balance_sheet_296.pdf"", ""labels"": 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Liabilities $210,966.76"", ""bbox"": [257, 1315, 1479, 1345]}, {""text"": ""Extended Debt $249,606.78"", ""bbox"": [215, 1369, 1479, 1399]}, {""text"": ""Postponed Taxes $26,861.85"", ""bbox"": [215, 1422, 1479, 1452]}, {""text"": ""Aggregate Liabilities $487,435.39"", ""bbox"": [257, 1478, 1479, 1508]}, {""text"": ""Ordinary Shares ($0.01 par value) $171,643.57"", ""bbox"": [215, 1531, 1479, 1561]}, {""text"": ""Accumulated Profits $514,930.72"", ""bbox"": [215, 1584, 1479, 1615]}, {""text"": ""Total Equity Holders' Interest $686,574.29"", ""bbox"": [257, 1640, 1479, 1670]}, {""text"": ""TOTAL LIABILITIES AND EQUITY $1,174,009.68"", ""bbox"": [299, 1695, 1479, 1726]}]}",296/296_dirty_4.png,"{""document"": ""pro_doc_full_balance_sheet_296_dirty_4.png"", ""labels"": [{""text"": ""Jenkins-Morris"", ""bbox"": [156, 185, 468, 234]}, {""text"": ""RESOURCES"", ""bbox"": [160, 422, 372, 459]}, {""text"": ""LIABILITIES AND OWNERS' INTEREST"", ""bbox"": [172, 1096, 785, 1141]}], ""values"": 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""bbox"": [219, 1591, 1483, 1633]}, {""text"": ""Aggregate Ownership Interest $584,957.08"", ""bbox"": [261, 1647, 1483, 1688]}, {""text"": ""Overall Obligations and Ownership $1,069,385.27"", ""bbox"": [304, 1702, 1484, 1744]}]}" +450/450.png,pro_doc_full_balance_sheet,450,450/450.pdf,450/450.xlsx,"{""img_file"": ""pro_doc_full_balance_sheet_450.png"", ""img_width"": 1654, ""img_height"": 2339, ""labels"": [{""text"": ""Bruce-Castillo"", ""bbox_px"": [154.76, 186.5, 452.14, 236.09]}, {""text"": ""RESOURCES"", ""bbox_px"": [159.42, 424.36, 371.16, 461.85]}, {""text"": ""LIABILITIES AND OWNERS' EQUITY"", ""bbox_px"": [172.85, 1098.21, 744.96, 1142.81]}], ""values"": [{""text"": ""Liquid Assets $202,409.29"", ""bbox_px"": [202.21, 460.36, 1466.09, 514.44]}, {""text"": ""Temporary Investments $104,966.05"", ""bbox_px"": [203.26, 513.77, 1467.14, 567.85]}, {""text"": ""Net Receivables $73,841.99"", ""bbox_px"": [204.32, 567.18, 1468.2, 621.26]}, {""text"": ""Stocks $221,537.42"", 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879]}, {""text"": ""Net Fixed Assets $588,871.16"", ""bbox"": [257, 902, 1479, 934]}, {""text"": ""Intangibles and Brand Value $43,353.01"", ""bbox"": [215, 956, 1479, 988]}, {""text"": ""TOTAL RESOURCES $1,373,177.67"", ""bbox"": [299, 1012, 1479, 1043]}, {""text"": ""Payables $80,173.31"", ""bbox"": [214, 1152, 1479, 1184]}, {""text"": ""Accumulated Obligations $25,328.82"", ""bbox"": [214, 1205, 1478, 1237]}, {""text"": ""Short-Term Debt Portion $71,162.68"", ""bbox"": [214, 1259, 1478, 1291]}, {""text"": ""Aggregate Short-Term Liabilities $176,664.81"", ""bbox"": [256, 1314, 1478, 1346]}, {""text"": ""Non-Current Debt $323,730.32"", ""bbox"": [214, 1368, 1478, 1400]}, {""text"": ""Future Tax Obligations $27,026.25"", ""bbox"": [214, 1421, 1478, 1453]}, {""text"": ""Overall Liabilities $527,421.38"", ""bbox"": [256, 1477, 1478, 1509]}, {""text"": ""Ordinary Shares $211,439.07"", ""bbox"": [214, 1530, 1478, 1562]}, {""text"": ""Accumulated Profits $634,317.22"", ""bbox"": [214, 1583, 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$691,980.52"", ""bbox"": [207, 781, 1471, 836]}, {""text"": ""Less: Total Depreciation $103,109.36"", ""bbox"": [208, 835, 1472, 890]}, {""text"": ""Net Fixed Assets $588,871.16"", ""bbox"": [251, 890, 1473, 944]}, {""text"": ""Intangibles and Brand Value $43,353.01"", ""bbox"": [210, 944, 1475, 999]}, {""text"": ""TOTAL RESOURCES $1,373,177.67"", ""bbox"": [295, 999, 1476, 1053]}, {""text"": ""Payables $80,173.31"", ""bbox"": [214, 1140, 1479, 1195]}, {""text"": ""Accumulated Obligations $25,328.82"", ""bbox"": [215, 1193, 1480, 1248]}, {""text"": ""Short-Term Debt Portion $71,162.68"", ""bbox"": [217, 1247, 1481, 1302]}, {""text"": ""Aggregate Short-Term Liabilities $176,664.81"", ""bbox"": [260, 1302, 1482, 1356]}, {""text"": ""Non-Current Debt $323,730.32"", ""bbox"": [219, 1356, 1483, 1411]}, {""text"": ""Future Tax Obligations $27,026.25"", ""bbox"": [220, 1409, 1484, 1464]}, {""text"": ""Overall Liabilities $527,421.38"", ""bbox"": [263, 1465, 1485, 1519]}, {""text"": ""Ordinary 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737]}, {""text"": ""Aggregate Current Resources $740,953.50"", ""bbox"": [252, 749, 1474, 792]}, {""text"": ""Fixed Assets (Gross) $691,980.52"", ""bbox"": [210, 802, 1475, 845]}, {""text"": ""Less: Total Depreciation $103,109.36"", ""bbox"": [211, 856, 1475, 899]}, {""text"": ""Net Fixed Assets $588,871.16"", ""bbox"": [254, 911, 1476, 954]}, {""text"": ""Intangibles and Brand Value $43,353.01"", ""bbox"": [212, 965, 1476, 1008]}, {""text"": ""TOTAL RESOURCES $1,373,177.67"", ""bbox"": [297, 1020, 1477, 1062]}, {""text"": ""Payables $80,173.31"", ""bbox"": [214, 1161, 1479, 1204]}, {""text"": ""Accumulated Obligations $25,328.82"", ""bbox"": [215, 1214, 1479, 1257]}, {""text"": ""Short-Term Debt Portion $71,162.68"", ""bbox"": [216, 1268, 1480, 1311]}, {""text"": ""Aggregate Short-Term Liabilities $176,664.81"", ""bbox"": [258, 1323, 1480, 1366]}, {""text"": ""Non-Current Debt $323,730.32"", ""bbox"": [217, 1377, 1481, 1420]}, {""text"": ""Future Tax Obligations $27,026.25"", ""bbox"": [217, 1430, 1482, 1473]}, {""text"": ""Overall Liabilities $527,421.38"", ""bbox"": [260, 1486, 1482, 1529]}, {""text"": ""Ordinary Shares $211,439.07"", ""bbox"": [219, 1539, 1483, 1582]}, {""text"": ""Accumulated Profits $634,317.22"", ""bbox"": [219, 1592, 1483, 1636]}, {""text"": ""Equity Total $845,756.29"", ""bbox"": [262, 1648, 1484, 1691]}, {""text"": ""TOTAL LIABILITIES AND EQUITY $1,373,177.67"", ""bbox"": [304, 1703, 1485, 1746]}]}",529/529_dirty_5.png,"{""document"": ""pro_doc_full_balance_sheet_529_dirty_5.png"", ""labels"": [{""text"": ""Chapman Inc"", ""bbox"": [159, 180, 434, 228]}, {""text"": ""RESOURCES"", ""bbox"": [163, 417, 374, 453]}, {""text"": ""LIABILITIES AND EQUITY"", ""bbox"": [173, 1097, 577, 1137]}], ""values"": [{""text"": ""Liquid Assets $192,897.31"", ""bbox"": [205, 463, 1469, 510]}, {""text"": ""Temporary Investments $93,201.73"", ""bbox"": [205, 516, 1470, 563]}, {""text"": ""Net Receivables $141,742.96"", ""bbox"": [206, 570, 1470, 617]}, {""text"": ""Stocks $296,861.48"", ""bbox"": [207, 623, 1471, 670]}, {""text"": ""Advance Payments $16,250.02"", ""bbox"": [208, 676, 1472, 724]}, {""text"": ""Aggregate Current Resources $740,953.50"", ""bbox"": [250, 732, 1473, 779]}, {""text"": ""Fixed Assets (Gross) $691,980.52"", ""bbox"": [209, 785, 1473, 832]}, {""text"": ""Less: Total Depreciation $103,109.36"", ""bbox"": [210, 839, 1474, 886]}, {""text"": ""Net Fixed Assets $588,871.16"", ""bbox"": [253, 894, 1475, 941]}, {""text"": ""Intangibles and Brand Value $43,353.01"", ""bbox"": [212, 948, 1476, 995]}, {""text"": ""TOTAL RESOURCES $1,373,177.67"", ""bbox"": [296, 1003, 1477, 1049]}, {""text"": ""Payables $80,173.31"", ""bbox"": [214, 1144, 1479, 1191]}, {""text"": ""Accumulated Obligations $25,328.82"", ""bbox"": [215, 1197, 1479, 1244]}, {""text"": ""Short-Term Debt Portion $71,162.68"", ""bbox"": [216, 1251, 1480, 1298]}, {""text"": ""Aggregate Short-Term Liabilities $176,664.81"", ""bbox"": [259, 1306, 1481, 1353]}, {""text"": ""Non-Current Debt $323,730.32"", ""bbox"": [217, 1360, 1482, 1407]}, {""text"": ""Future Tax Obligations $27,026.25"", ""bbox"": [218, 1413, 1482, 1460]}, {""text"": ""Overall Liabilities $527,421.38"", ""bbox"": [261, 1469, 1483, 1516]}, {""text"": ""Ordinary Shares $211,439.07"", ""bbox"": [220, 1522, 1484, 1569]}, {""text"": ""Accumulated Profits $634,317.22"", ""bbox"": [221, 1575, 1485, 1623]}, {""text"": ""Equity Total $845,756.29"", ""bbox"": [263, 1631, 1486, 1678]}, {""text"": ""TOTAL LIABILITIES AND EQUITY $1,373,177.67"", ""bbox"": [306, 1686, 1486, 1733]}]}" +534/534.png,pro_doc_full_balance_sheet,534,534/534.pdf,534/534.xlsx,"{""img_file"": ""pro_doc_full_balance_sheet_534.png"", ""img_width"": 1654, ""img_height"": 2339, ""labels"": [{""text"": ""Snyder-Diaz"", ""bbox_px"": [187.21, 170.4, 440.61, 217.62]}, {""text"": ""RESOURCES"", ""bbox_px"": [184.1, 406.61, 395.67, 442.84]}, {""text"": ""LIABILITIES AND EQUITY"", ""bbox_px"": [174.75, 1087.63, 579.53, 1126.52]}], ""values"": [{""text"": ""Liquid Assets $152,290.11"", ""bbox_px"": [225.03, 464.76, 1488.87, 511.28]}, {""text"": ""Temporary Investments $82,294.77"", ""bbox_px"": [224.3, 518.17, 1488.14, 564.7]}, {""text"": ""Net Receivables $102,195.06"", ""bbox_px"": [223.56, 571.59, 1487.4, 618.11]}, {""text"": ""Stocks $124,418.54"", ""bbox_px"": [222.83, 625.0, 1486.66, 671.52]}, {""text"": ""Advance Payments $19,341.47"", ""bbox_px"": [222.1, 678.41, 1485.93, 724.94]}, {""text"": ""Aggregate Current Resources $480,539.95"", ""bbox_px"": [263.0, 734.48, 1485.17, 780.43]}, {""text"": ""Fixed Assets (Gross) $671,602.52"", ""bbox_px"": [220.6, 787.32, 1484.43, 833.85]}, {""text"": ""Accumulated Amortization $133,643.16"", ""bbox_px"": [219.87, 840.73, 1483.7, 887.26]}, {""text"": ""Net Fixed Assets $537,959.36"", ""bbox_px"": [260.77, 896.8, 1482.94, 942.75]}, {""text"": ""Intangible Assets and Goodwill $83,903.96"", ""bbox_px"": [218.37, 949.64, 1482.21, 996.17]}, {""text"": ""Total 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""TOTAL OBLIGATIONS AND EQUITY $1,343,942.27"", ""bbox"": [295, 1675, 1475, 1713]}]}" +576/576.png,pro_doc_full_balance_sheet,576,576/576.pdf,576/576.xlsx,"{""img_file"": ""pro_doc_full_balance_sheet_576.png"", ""img_width"": 1654, ""img_height"": 2339, ""labels"": [{""text"": ""Hernandez LLC"", ""bbox_px"": [176.22, 177.85, 497.18, 222.3]}, {""text"": ""RESOURCES"", ""bbox_px"": [175.73, 414.08, 386.93, 447.87]}, {""text"": ""OBLIGATIONS AND EQUITY"", ""bbox_px"": [174.23, 1095.16, 616.94, 1129.47]}], ""values"": [{""text"": ""Immediate Funds $213,040.80"", ""bbox_px"": [217.28, 471.75, 1480.89, 503.69]}, {""text"": ""Near-Term Investments $93,277.05"", ""bbox_px"": [217.16, 525.17, 1480.78, 557.11]}, {""text"": ""Outstanding Receivables (Net) $94,669.81"", ""bbox_px"": [217.04, 578.59, 1480.66, 610.53]}, {""text"": ""Stocks $226,881.67"", ""bbox_px"": [216.93, 632.01, 1480.54, 663.94]}, {""text"": ""Advanced Payments $16,203.88"", ""bbox_px"": [216.81, 685.42, 1480.43, 717.36]}, 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622.81, 1471.05, 672.51]}, {""text"": ""Advanced Payments $16,588.74"", ""bbox_px"": [208.06, 676.23, 1471.92, 725.92]}, {""text"": ""Aggregate Liquid Assets $600,976.02"", ""bbox_px"": [250.62, 731.72, 1472.82, 780.74]}, {""text"": ""Fixed Assets (Gross) $888,406.81"", ""bbox_px"": [209.83, 785.13, 1473.69, 834.83]}, {""text"": ""Less: Total Depreciation $119,306.25"", ""bbox_px"": [210.7, 838.54, 1474.59, 888.24]}, {""text"": ""Net Fixed Assets $769,100.56"", ""bbox_px"": [253.26, 894.03, 1475.46, 943.06]}, {""text"": ""Branding and Intellectual Property $30,692.91"", ""bbox_px"": [212.47, 947.45, 1476.33, 997.14]}, {""text"": ""Total Resources $1,400,769.49"", ""bbox_px"": [296.69, 1002.94, 1477.23, 1051.28]}, {""text"": ""Payables $57,229.52"", ""bbox_px"": [215.65, 1143.58, 1479.52, 1193.28]}, {""text"": ""Pending Obligations $39,366.37"", ""bbox_px"": [216.52, 1196.99, 1480.39, 1246.69]}, {""text"": ""Short-Term Debt $49,402.87"", ""bbox_px"": [217.39, 1250.4, 1481.25, 1300.1]}, 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1701, 1473, 1743]}]}" +644/644.png,pro_doc_full_balance_sheet,644,644/644.pdf,644/644.xlsx,"{""img_file"": ""pro_doc_full_balance_sheet_644.png"", ""img_width"": 1654, ""img_height"": 2339, ""labels"": [{""text"": ""Brown PLC"", ""bbox_px"": [166.87, 182.38, 402.95, 227.87]}, {""text"": ""RESOURCES"", ""bbox_px"": [168.61, 418.78, 379.98, 453.67]}, {""text"": ""OBLIGATIONS AND STAKEHOLDER'S CAPITAL"", ""bbox_px"": [173.63, 1095.87, 925.02, 1134.74]}], ""values"": [{""text"": ""Liquid Resources $190,170.12"", ""bbox_px"": [210.7, 468.3, 1474.43, 506.78]}, {""text"": ""Near-Term Investments $109,072.75"", ""bbox_px"": [211.09, 521.72, 1474.83, 560.2]}, {""text"": ""Outstanding Receivables (Net) $106,978.29"", ""bbox_px"": [211.49, 575.13, 1475.22, 613.62]}, {""text"": ""Stocks $115,512.68"", ""bbox_px"": [211.88, 628.55, 1475.65, 667.03]}, {""text"": ""Advance Payments $17,393.22"", ""bbox_px"": [212.27, 681.97, 1476.01, 720.45]}, {""text"": ""Aggregate Short-Term Assets $539,127.06"", 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987]}, {""text"": ""TOTAL RESOURCES $1,092,166.88"", ""bbox"": [298, 1012, 1478, 1042]}, {""text"": ""Vendor Payables $71,019.91"", ""bbox"": [214, 1153, 1479, 1183]}, {""text"": ""Pending Obligations $44,828.39"", ""bbox"": [215, 1206, 1479, 1236]}, {""text"": ""Immediate Part of Long-Term Borrowings $25,764.65"", ""bbox"": [215, 1260, 1479, 1290]}, {""text"": ""Aggregate Short-Term Liabilities $141,612.95"", ""bbox"": [257, 1315, 1479, 1345]}, {""text"": ""Extended Debt $251,929.22"", ""bbox"": [215, 1369, 1479, 1399]}, {""text"": ""Postponed Tax Obligations $33,474.69"", ""bbox"": [215, 1422, 1479, 1452]}, {""text"": ""Aggregate Obligations $427,016.86"", ""bbox"": [257, 1478, 1479, 1508]}, {""text"": ""Ordinary Shares ($0.01 face value) $166,287.51"", ""bbox"": [215, 1531, 1479, 1561]}, {""text"": ""Accumulated Profits $498,862.51"", ""bbox"": [215, 1584, 1479, 1615]}, {""text"": ""Aggregate Stakeholder's Capital $665,150.02"", ""bbox"": [257, 1640, 1479, 1670]}, {""text"": ""TOTAL OBLIGATIONS AND STAKEHOLDER'S CAPITAL $1,092,166.88"", ""bbox"": [299, 1695, 1479, 1726]}]}",644/644_dirty_4.png,"{""document"": ""pro_doc_full_balance_sheet_644_dirty_4.png"", ""labels"": [{""text"": ""Brown PLC"", ""bbox"": [168, 181, 404, 226]}, {""text"": ""RESOURCES"", ""bbox"": [169, 417, 380, 451]}, {""text"": ""OBLIGATIONS AND STAKEHOLDER'S CAPITAL"", ""bbox"": [173, 1095, 924, 1133]}], ""values"": [{""text"": ""Liquid Resources $190,170.12"", ""bbox"": [210, 469, 1475, 505]}, {""text"": ""Near-Term Investments $109,072.75"", ""bbox"": [211, 522, 1475, 558]}, {""text"": ""Outstanding Receivables (Net) $106,978.29"", ""bbox"": [211, 576, 1475, 612]}, {""text"": ""Stocks $115,512.68"", ""bbox"": [211, 629, 1476, 665]}, {""text"": ""Advance Payments $17,393.22"", ""bbox"": [212, 682, 1476, 719]}, {""text"": ""Aggregate Short-Term Assets $539,127.06"", ""bbox"": [254, 738, 1476, 774]}, {""text"": ""Real Estate, Machinery and Facilities (Gross) $569,418.32"", ""bbox"": [212, 791, 1476, 827]}, {""text"": ""Deduct: Accumulated Amortization $60,205.32"", ""bbox"": [213, 845, 1477, 881]}, {""text"": ""Net Real Estate, Machinery and Facilities $509,213.00"", ""bbox"": [255, 900, 1477, 936]}, {""text"": ""Branding and Non-Physical Assets $43,826.82"", ""bbox"": [213, 954, 1477, 990]}, {""text"": ""TOTAL RESOURCES $1,092,166.88"", ""bbox"": [298, 1009, 1478, 1045]}, {""text"": ""Vendor Payables $71,019.91"", ""bbox"": [214, 1150, 1479, 1186]}, {""text"": ""Pending Obligations $44,828.39"", ""bbox"": [215, 1203, 1479, 1239]}, {""text"": ""Immediate Part of Long-Term Borrowings $25,764.65"", ""bbox"": [215, 1257, 1479, 1293]}, {""text"": ""Aggregate Short-Term Liabilities $141,612.95"", ""bbox"": [257, 1312, 1480, 1348]}, {""text"": ""Extended Debt $251,929.22"", ""bbox"": [216, 1366, 1480, 1402]}, {""text"": ""Postponed Tax Obligations $33,474.69"", ""bbox"": [216, 1419, 1480, 1455]}, {""text"": ""Aggregate Obligations $427,016.86"", ""bbox"": [258, 1475, 1480, 1511]}, {""text"": ""Ordinary Shares ($0.01 face value) $166,287.51"", ""bbox"": [217, 1528, 1481, 1564]}, {""text"": ""Accumulated Profits $498,862.51"", ""bbox"": [217, 1581, 1481, 1618]}, {""text"": ""Aggregate Stakeholder's Capital $665,150.02"", ""bbox"": [259, 1637, 1481, 1673]}, {""text"": ""TOTAL OBLIGATIONS AND STAKEHOLDER'S CAPITAL $1,092,166.88"", ""bbox"": [302, 1692, 1482, 1729]}]}",644/644_dirty_5.png,"{""document"": ""pro_doc_full_balance_sheet_644_dirty_5.png"", ""labels"": [{""text"": ""Brown PLC"", ""bbox"": [180, 178, 417, 224]}, {""text"": ""RESOURCES"", ""bbox"": [179, 414, 390, 448]}, {""text"": ""OBLIGATIONS AND STAKEHOLDER'S CAPITAL"", ""bbox"": [174, 1091, 925, 1130]}], ""values"": [{""text"": ""Liquid Resources $190,170.12"", ""bbox"": [219, 468, 1483, 506]}, {""text"": ""Near-Term Investments $109,072.75"", ""bbox"": [219, 521, 1483, 559]}, {""text"": ""Outstanding Receivables (Net) $106,978.29"", ""bbox"": [219, 575, 1483, 613]}, {""text"": ""Stocks $115,512.68"", ""bbox"": [218, 628, 1482, 666]}, {""text"": ""Advance Payments $17,393.22"", ""bbox"": [218, 681, 1482, 720]}, {""text"": ""Aggregate Short-Term Assets $539,127.06"", ""bbox"": [259, 737, 1482, 775]}, {""text"": ""Real Estate, Machinery and Facilities (Gross) $569,418.32"", ""bbox"": [217, 790, 1481, 828]}, {""text"": ""Deduct: Accumulated Amortization $60,205.32"", ""bbox"": [217, 844, 1481, 882]}, {""text"": ""Net Real Estate, Machinery and Facilities $509,213.00"", ""bbox"": [258, 899, 1480, 937]}, {""text"": ""Branding and Non-Physical Assets $43,826.82"", ""bbox"": [216, 953, 1480, 991]}, {""text"": ""TOTAL RESOURCES $1,092,166.88"", ""bbox"": [299, 1009, 1480, 1046]}, {""text"": ""Vendor Payables $71,019.91"", ""bbox"": [214, 1149, 1479, 1187]}, {""text"": ""Pending Obligations $44,828.39"", ""bbox"": [214, 1202, 1478, 1240]}, {""text"": ""Immediate Part of Long-Term Borrowings $25,764.65"", ""bbox"": [214, 1256, 1478, 1294]}, {""text"": ""Aggregate Short-Term Liabilities $141,612.95"", ""bbox"": [255, 1311, 1477, 1349]}, {""text"": ""Extended Debt $251,929.22"", ""bbox"": [213, 1365, 1477, 1403]}, {""text"": ""Postponed Tax Obligations $33,474.69"", ""bbox"": [212, 1418, 1477, 1456]}, {""text"": ""Aggregate Obligations $427,016.86"", ""bbox"": [254, 1474, 1476, 1512]}, {""text"": ""Ordinary Shares ($0.01 face value) $166,287.51"", ""bbox"": [212, 1527, 1476, 1565]}, {""text"": ""Accumulated Profits $498,862.51"", ""bbox"": [211, 1580, 1475, 1619]}, {""text"": ""Aggregate Stakeholder's Capital $665,150.02"", ""bbox"": [253, 1636, 1475, 1674]}, {""text"": ""TOTAL OBLIGATIONS AND STAKEHOLDER'S CAPITAL $1,092,166.88"", ""bbox"": [295, 1692, 1475, 1730]}]}" +647/647.png,pro_doc_full_balance_sheet,647,647/647.pdf,647/647.xlsx,"{""img_file"": ""pro_doc_full_balance_sheet_647.png"", ""img_width"": 1654, ""img_height"": 2339, ""labels"": [{""text"": ""Ford and Sons"", ""bbox_px"": [168.72, 181.2, 475.25, 226.63]}, {""text"": ""RESOURCES"", ""bbox_px"": [170.02, 417.94, 381.33, 452.44]}, {""text"": ""OBLIGATIONS AND EQUITY"", ""bbox_px"": [173.76, 1097.75, 616.57, 1133.51]}], ""values"": [{""text"": ""Immediate Funds $235,245.12"", ""bbox_px"": [212.0, 469.52, 1475.69, 505.62]}, {""text"": ""Temporary Investments $84,424.72"", ""bbox_px"": [212.29, 522.94, 1475.99, 559.04]}, {""text"": ""Net Receivables $65,540.39"", ""bbox_px"": [212.59, 576.35, 1476.29, 612.46]}, {""text"": ""Stocks $111,634.69"", ""bbox_px"": [212.88, 629.77, 1476.62, 665.88]}, {""text"": ""Advance Payments $15,110.47"", ""bbox_px"": [213.17, 683.19, 1476.91, 719.29]}, {""text"": ""Aggregate Short-Term Resources $511,955.39"", ""bbox_px"": [255.15, 738.69, 1477.17, 774.56]}, {""text"": ""Physical Assets (Gross) $410,463.19"", ""bbox_px"": [213.77, 792.11, 1477.47, 828.21]}, {""text"": ""Less: Total Depreciation $79,326.55"", ""bbox_px"": [214.07, 845.52, 1477.76, 881.63]}, {""text"": ""Net Physical Assets $331,136.64"", ""bbox_px"": [256.04, 901.02, 1478.06, 936.9]}, {""text"": ""Brand Value and Intellectual Property $49,305.81"", ""bbox_px"": [214.66, 954.44, 1478.36, 990.55]}, {""text"": ""TOTAL RESOURCES $892,397.84"", ""bbox_px"": [298.3, 1009.94, 1478.66, 1045.59]}, {""text"": ""Outstanding Liabilities $104,311.59"", ""bbox_px"": [215.74, 1150.6, 1479.47, 1186.7]}, {""text"": ""Pending Obligations $49,253.61"", ""bbox_px"": [216.03, 1204.01, 1479.73, 1240.12]}, {""text"": ""Short-Term Debt Component $36,807.06"", ""bbox_px"": [216.33, 1257.43, 1480.03, 1293.54]}, {""text"": ""Aggregate Immediate Obligations $190,372.26"", ""bbox_px"": [258.3, 1312.93, 1480.33, 1348.81]}, {""text"": ""Extended Debt $263,817.00"", ""bbox_px"": [216.93, 1366.35, 1480.62, 1402.45]}, {""text"": ""Postponed Tax Obligations $15,560.61"", ""bbox_px"": [217.22, 1419.77, 1480.92, 1455.87]}, {""text"": ""Total Obligations $469,749.87"", ""bbox_px"": [259.19, 1475.27, 1481.22, 1511.14]}, {""text"": ""Ordinary Shares ($0.01 face value) $105,661.99"", ""bbox_px"": [217.82, 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1512]}, {""text"": ""Ordinary Shares $146,741.14"", ""bbox"": [218, 1526, 1482, 1566]}, {""text"": ""Accumulated Profits $440,223.44"", ""bbox"": [218, 1579, 1482, 1620]}, {""text"": ""Total Equity $586,964.58"", ""bbox"": [260, 1635, 1483, 1674]}, {""text"": ""Total Liabilities and Equity $1,236,368.00"", ""bbox"": [303, 1690, 1483, 1730]}]}" +654/654.png,pro_doc_full_balance_sheet,654,654/654.pdf,654/654.xlsx,"{""img_file"": ""pro_doc_full_balance_sheet_654.png"", ""img_width"": 1654, ""img_height"": 2339, ""labels"": [{""text"": ""Hernandez, Blair and Gates"", ""bbox_px"": [180.62, 174.84, 749.83, 222.48]}, {""text"": ""RESOURCES"", ""bbox_px"": [179.08, 411.07, 390.43, 445.84]}, {""text"": ""LIABILITIES AND OWNERS' CAPITAL"", ""bbox_px"": [174.43, 1092.14, 764.08, 1129.5]}], ""values"": [{""text"": ""Immediate Funds $173,215.58"", ""bbox_px"": [220.38, 468.94, 1484.1, 506.73]}, {""text"": ""Temporary Investments $128,945.97"", ""bbox_px"": [220.01, 522.35, 1483.74, 560.14]}, 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1694, 1477, 1728]}]}" +681/681.png,pro_doc_full_balance_sheet,681,681/681.pdf,681/681.xlsx,"{""img_file"": ""pro_doc_full_balance_sheet_681.png"", ""img_width"": 1654, ""img_height"": 2339, ""labels"": [{""text"": ""Arnold, Clark and Valenzuela"", ""bbox_px"": [183.25, 173.06, 784.2, 222.57]}, {""text"": ""RESOURCES"", ""bbox_px"": [181.09, 409.28, 392.53, 444.64]}, {""text"": ""LIABILITIES AND EQUITY"", ""bbox_px"": [174.55, 1090.33, 579.22, 1127.55]}], ""values"": [{""text"": ""Liquid Reserves $102,145.01"", ""bbox_px"": [222.24, 467.26, 1486.01, 508.55]}, {""text"": ""Temporary Investments $103,593.20"", ""bbox_px"": [221.73, 520.67, 1485.5, 561.96]}, {""text"": ""Outstanding Receivables (Net) $82,892.63"", ""bbox_px"": [221.21, 574.09, 1484.99, 615.38]}, {""text"": ""Stocks $288,221.53"", ""bbox_px"": [220.7, 627.51, 1484.48, 668.79]}, {""text"": ""Advance Payments $19,904.96"", ""bbox_px"": [220.19, 680.92, 1483.97, 722.21]}, {""text"": ""Aggregate Short-Term Resources 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""Near-Term Debt $51,467.16"", ""bbox"": [77.69291325, 453.96530025000004, 532.5734077499999, 464.46530025000004]}, {""text"": ""Aggregate Short-Term Obligations $155,576.07"", ""bbox"": [92.69291325, 473.94576900000004, 532.571808, 484.44576900000004]}, {""text"": ""Extended Debt $442,639.50"", ""bbox"": [77.69291325, 493.17623775000004, 532.571808, 503.67623775000004]}, {""text"": ""Postponed Tax Obligations $16,287.92"", ""bbox"": [77.69291325, 512.4067065, 532.5734077499999, 522.9067065]}, {""text"": ""Aggregate Obligations $614,503.49"", ""bbox"": [92.69291325, 532.38717525, 532.571808, 542.88717525]}, {""text"": ""Ordinary Shares (with $0.01 Par Value) $153,395.32"", ""bbox"": [77.69291325, 551.617644, 532.571808, 562.117644]}, {""text"": ""Accumulated Profits $460,185.94"", ""bbox"": [77.69291325, 570.84811275, 532.571808, 581.34811275]}, {""text"": ""Aggregate Owner's Interest $613,581.26"", ""bbox"": [92.69291325, 590.8285815, 532.571808, 601.3285815]}, {""text"": ""TOTAL 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818]}, {""text"": ""Accumulated Amortization $163,311.65"", ""bbox"": [211, 830, 1475, 872]}, {""text"": ""Net Fixed Assets $580,706.27"", ""bbox"": [254, 885, 1476, 927]}, {""text"": ""Brand Value and Intellectual Property $85,739.07"", ""bbox"": [212, 939, 1477, 981]}, {""text"": ""TOTAL RESOURCES $1,228,084.75"", ""bbox"": [297, 994, 1477, 1035]}, {""text"": ""Outstanding Payables $63,059.56"", ""bbox"": [214, 1135, 1479, 1177]}, {""text"": ""Pending Obligations $41,049.35"", ""bbox"": [215, 1188, 1479, 1230]}, {""text"": ""Near-Term Debt $51,467.16"", ""bbox"": [216, 1242, 1480, 1284]}, {""text"": ""Aggregate Short-Term Obligations $155,576.07"", ""bbox"": [258, 1297, 1480, 1339]}, {""text"": ""Extended Debt $442,639.50"", ""bbox"": [217, 1351, 1481, 1393]}, {""text"": ""Postponed Tax Obligations $16,287.92"", ""bbox"": [217, 1404, 1481, 1446]}, {""text"": ""Aggregate Obligations $614,503.49"", ""bbox"": [260, 1459, 1482, 1502]}, {""text"": ""Ordinary Shares (with $0.01 Par Value) $153,395.32"", ""bbox"": [218, 1512, 1483, 1555]}, {""text"": ""Accumulated Profits $460,185.94"", ""bbox"": [219, 1565, 1483, 1609]}, {""text"": ""Aggregate Owner's Interest $613,581.26"", ""bbox"": [262, 1621, 1484, 1664]}, {""text"": ""TOTAL OBLIGATIONS AND OWNER'S CAPITAL $1,228,084.75"", ""bbox"": [304, 1676, 1484, 1719]}]}",718/718_dirty_2.png,"{""document"": ""pro_doc_full_balance_sheet_718_dirty_2.png"", ""labels"": [{""text"": ""Smith Inc"", ""bbox"": [191, 166, 389, 214]}, {""text"": ""RESOURCES"", ""bbox"": [187, 402, 399, 439]}, {""text"": ""OBLIGATIONS AND OWNER'S CAPITAL"", ""bbox"": [174, 1083, 803, 1129]}], ""values"": [{""text"": ""Immediate Funds $217,709.51"", ""bbox"": [227, 461, 1491, 514]}, {""text"": ""Temporary Investments $83,172.74"", ""bbox"": [226, 514, 1490, 567]}, {""text"": ""Outstanding Receivables $88,486.59"", ""bbox"": [225, 568, 1489, 621]}, {""text"": ""Stocks $155,554.92"", ""bbox"": [224, 621, 1488, 674]}, {""text"": ""Advance Payments $16,715.65"", ""bbox"": [223, 674, 1487, 728]}, {""text"": ""Aggregate Current Resources $561,639.41"", ""bbox"": [264, 731, 1486, 783]}, {""text"": ""Fixed Assets (Gross) $744,017.92"", ""bbox"": [221, 783, 1485, 836]}, {""text"": ""Accumulated Amortization $163,311.65"", ""bbox"": [220, 837, 1484, 890]}, {""text"": ""Net Fixed Assets $580,706.27"", ""bbox"": [261, 893, 1483, 945]}, {""text"": ""Brand Value and Intellectual Property $85,739.07"", ""bbox"": [218, 946, 1482, 999]}, {""text"": ""TOTAL RESOURCES $1,228,084.75"", ""bbox"": [301, 1003, 1481, 1054]}, {""text"": ""Outstanding Payables $63,059.56"", ""bbox"": [214, 1142, 1479, 1195]}, {""text"": ""Pending Obligations $41,049.35"", ""bbox"": [213, 1195, 1478, 1248]}, {""text"": ""Near-Term Debt $51,467.16"", ""bbox"": [212, 1249, 1477, 1302]}, {""text"": ""Aggregate Short-Term Obligations $155,576.07"", ""bbox"": [253, 1305, 1476, 1357]}, {""text"": ""Extended Debt $442,639.50"", ""bbox"": [210, 1358, 1475, 1411]}, {""text"": 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[223, 517, 1488, 564]}, {""text"": ""Outstanding Receivables $88,486.59"", ""bbox"": [223, 571, 1487, 618]}, {""text"": ""Stocks $155,554.92"", ""bbox"": [222, 624, 1486, 671]}, {""text"": ""Advance Payments $16,715.65"", ""bbox"": [221, 677, 1485, 725]}, {""text"": ""Aggregate Current Resources $561,639.41"", ""bbox"": [262, 733, 1485, 780]}, {""text"": ""Fixed Assets (Gross) $744,017.92"", ""bbox"": [219, 786, 1484, 833]}, {""text"": ""Accumulated Amortization $163,311.65"", ""bbox"": [219, 840, 1483, 887]}, {""text"": ""Net Fixed Assets $580,706.27"", ""bbox"": [260, 895, 1482, 942]}, {""text"": ""Brand Value and Intellectual Property $85,739.07"", ""bbox"": [217, 949, 1481, 996]}, {""text"": ""TOTAL RESOURCES $1,228,084.75"", ""bbox"": [300, 1005, 1481, 1051]}, {""text"": ""Outstanding Payables $63,059.56"", ""bbox"": [214, 1145, 1479, 1192]}, {""text"": ""Pending Obligations $41,049.35"", ""bbox"": [214, 1198, 1478, 1245]}, {""text"": ""Near-Term Debt $51,467.16"", ""bbox"": [213, 1252, 1477, 1299]}, {""text"": ""Aggregate Short-Term Obligations $155,576.07"", ""bbox"": [254, 1307, 1476, 1354]}, {""text"": ""Extended Debt $442,639.50"", ""bbox"": [211, 1361, 1476, 1408]}, {""text"": ""Postponed Tax Obligations $16,287.92"", ""bbox"": [211, 1414, 1475, 1461]}, {""text"": ""Aggregate Obligations $614,503.49"", ""bbox"": [252, 1470, 1474, 1517]}, {""text"": ""Ordinary Shares (with $0.01 Par Value) $153,395.32"", ""bbox"": [209, 1523, 1473, 1570]}, {""text"": ""Accumulated Profits $460,185.94"", ""bbox"": [208, 1576, 1472, 1624]}, {""text"": ""Aggregate Owner's Interest $613,581.26"", ""bbox"": [249, 1632, 1472, 1679]}, {""text"": ""TOTAL OBLIGATIONS AND OWNER'S CAPITAL $1,228,084.75"", ""bbox"": [291, 1688, 1471, 1735]}]}",718/718_dirty_4.png,"{""document"": ""pro_doc_full_balance_sheet_718_dirty_4.png"", ""labels"": [{""text"": ""Smith Inc"", ""bbox"": [153, 188, 351, 236]}, {""text"": ""RESOURCES"", ""bbox"": [158, 424, 370, 461]}, {""text"": ""OBLIGATIONS AND OWNER'S CAPITAL"", ""bbox"": [172, 1096, 801, 1143]}], ""values"": [{""text"": ""Immediate Funds $217,709.51"", ""bbox"": [200, 459, 1464, 514]}, {""text"": ""Temporary Investments $83,172.74"", ""bbox"": [201, 512, 1466, 567]}, {""text"": ""Outstanding Receivables $88,486.59"", ""bbox"": [202, 566, 1467, 621]}, {""text"": ""Stocks $155,554.92"", ""bbox"": [203, 619, 1468, 674]}, {""text"": ""Advance Payments $16,715.65"", ""bbox"": [205, 672, 1469, 728]}, {""text"": ""Aggregate Current Resources $561,639.41"", ""bbox"": [248, 728, 1470, 782]}, {""text"": ""Fixed Assets (Gross) $744,017.92"", ""bbox"": [207, 781, 1471, 836]}, {""text"": ""Accumulated Amortization $163,311.65"", ""bbox"": [208, 835, 1472, 890]}, {""text"": ""Net Fixed Assets $580,706.27"", ""bbox"": [251, 890, 1473, 944]}, {""text"": ""Brand Value and Intellectual Property $85,739.07"", ""bbox"": [210, 944, 1475, 999]}, {""text"": ""TOTAL RESOURCES $1,228,084.75"", ""bbox"": [295, 999, 1476, 1053]}, {""text"": ""Outstanding Payables $63,059.56"", ""bbox"": [214, 1140, 1479, 1195]}, {""text"": ""Pending Obligations $41,049.35"", ""bbox"": [215, 1193, 1480, 1248]}, {""text"": ""Near-Term Debt $51,467.16"", ""bbox"": [217, 1247, 1481, 1302]}, {""text"": ""Aggregate Short-Term Obligations $155,576.07"", ""bbox"": [260, 1302, 1482, 1356]}, {""text"": ""Extended Debt $442,639.50"", ""bbox"": [219, 1356, 1483, 1411]}, {""text"": ""Postponed Tax Obligations $16,287.92"", ""bbox"": [220, 1409, 1484, 1464]}, {""text"": ""Aggregate Obligations $614,503.49"", ""bbox"": [263, 1465, 1485, 1519]}, {""text"": ""Ordinary Shares (with $0.01 Par Value) $153,395.32"", ""bbox"": [222, 1518, 1487, 1573]}, {""text"": ""Accumulated Profits $460,185.94"", ""bbox"": [223, 1571, 1488, 1627]}, {""text"": ""Aggregate Owner's Interest $613,581.26"", ""bbox"": [266, 1627, 1489, 1681]}, {""text"": ""TOTAL OBLIGATIONS AND OWNER'S CAPITAL $1,228,084.75"", ""bbox"": [310, 1682, 1490, 1736]}]}",718/718_dirty_5.png,"{""document"": ""pro_doc_full_balance_sheet_718_dirty_5.png"", ""labels"": [{""text"": ""Smith Inc"", ""bbox"": [176, 177, 373, 222]}, {""text"": ""RESOURCES"", ""bbox"": [175, 413, 386, 447]}, {""text"": ""OBLIGATIONS AND OWNER'S CAPITAL"", ""bbox"": [174, 1094, 802, 1129]}], ""values"": [{""text"": ""Immediate Funds $217,709.51"", ""bbox"": [216, 471, 1480, 503]}, {""text"": ""Temporary Investments $83,172.74"", ""bbox"": [216, 524, 1480, 556]}, {""text"": ""Outstanding Receivables $88,486.59"", ""bbox"": [216, 578, 1480, 610]}, {""text"": ""Stocks $155,554.92"", ""bbox"": [216, 631, 1480, 663]}, {""text"": ""Advance Payments $16,715.65"", ""bbox"": [215, 684, 1480, 717]}, {""text"": ""Aggregate Current Resources $561,639.41"", ""bbox"": [257, 740, 1479, 772]}, {""text"": ""Fixed Assets (Gross) $744,017.92"", ""bbox"": [215, 793, 1479, 825]}, {""text"": ""Accumulated Amortization $163,311.65"", ""bbox"": [215, 847, 1479, 879]}, {""text"": ""Net Fixed Assets $580,706.27"", ""bbox"": [257, 902, 1479, 934]}, {""text"": ""Brand Value and Intellectual Property $85,739.07"", ""bbox"": [215, 956, 1479, 988]}, {""text"": ""TOTAL RESOURCES $1,228,084.75"", ""bbox"": [299, 1011, 1479, 1043]}, {""text"": ""Outstanding Payables $63,059.56"", ""bbox"": [214, 1152, 1479, 1184]}, {""text"": ""Pending Obligations $41,049.35"", ""bbox"": [214, 1205, 1478, 1237]}, {""text"": ""Near-Term Debt $51,467.16"", ""bbox"": [214, 1259, 1478, 1291]}, {""text"": ""Aggregate Short-Term Obligations $155,576.07"", ""bbox"": [256, 1314, 1478, 1346]}, {""text"": ""Extended Debt $442,639.50"", ""bbox"": [214, 1368, 1478, 1400]}, {""text"": ""Postponed Tax Obligations $16,287.92"", ""bbox"": [214, 1421, 1478, 1453]}, {""text"": ""Aggregate Obligations $614,503.49"", ""bbox"": [256, 1477, 1478, 1509]}, {""text"": ""Ordinary Shares (with $0.01 Par Value) $153,395.32"", ""bbox"": [214, 1530, 1478, 1562]}, {""text"": ""Accumulated Profits $460,185.94"", ""bbox"": [214, 1583, 1478, 1616]}, {""text"": ""Aggregate Owner's Interest $613,581.26"", ""bbox"": [255, 1639, 1477, 1671]}, {""text"": ""TOTAL OBLIGATIONS AND OWNER'S CAPITAL $1,228,084.75"", ""bbox"": [297, 1694, 1477, 1727]}]}" +720/720.png,pro_doc_full_balance_sheet,720,720/720.pdf,720/720.xlsx,"{""img_file"": ""pro_doc_full_balance_sheet_720.png"", ""img_width"": 1654, ""img_height"": 2339, ""labels"": [{""text"": ""Ramirez Ltd"", ""bbox_px"": [197.99, 163.28, 449.38, 213.27]}, {""text"": ""RESOURCES"", ""bbox_px"": [192.34, 399.43, 404.24, 438.03]}, {""text"": ""OBLIGATIONS AND OWNER'S INTEREST"", ""bbox_px"": [175.33, 1080.31, 826.52, 1129.88]}], ""values"": [{""text"": ""Immediate Funds $291,768.30"", ""bbox_px"": [232.66, 458.04, 1496.55, 518.77]}, {""text"": ""Temporary Investments $61,315.79"", ""bbox_px"": [231.33, 511.44, 1495.22, 572.17]}, {""text"": ""Outstanding Receivables (Net) $66,445.00"", ""bbox_px"": [229.99, 564.84, 1493.88, 625.57]}, {""text"": ""Stocks $153,776.62"", ""bbox_px"": [228.66, 618.24, 1492.55, 678.97]}, {""text"": ""Advanced Payments $6,742.25"", ""bbox_px"": [227.32, 671.64, 1491.22, 732.37]}, {""text"": ""Aggregate Liquid Assets $580,047.96"", ""bbox_px"": [267.59, 728.17, 1489.82, 787.85]}, {""text"": ""Fixed Assets (Gross) $782,653.89"", ""bbox_px"": [224.6, 780.53, 1488.49, 841.26]}, {""text"": ""Minus: Total Depreciation $155,519.50"", ""bbox_px"": [223.27, 833.93, 1487.15, 894.66]}, {""text"": ""Net Fixed Assets $627,134.39"", ""bbox_px"": [263.54, 890.46, 1485.77, 950.14]}, {""text"": ""Branding and Intellectual Property $44,322.69"", ""bbox_px"": [220.55, 942.82, 1484.44, 1003.54]}, {""text"": ""TOTAL RESOURCES $1,251,505.04"", ""bbox_px"": [302.47, 1000.38, 1483.05, 1059.03]}, {""text"": ""Vendor Payables $94,702.43"", ""bbox_px"": [215.65, 1138.91, 1479.54, 1199.64]}, {""text"": ""Pending Obligations $23,741.74"", ""bbox_px"": [214.31, 1192.31, 1478.2, 1253.04]}, {""text"": ""Near-Term Debt $72,145.19"", ""bbox_px"": [212.98, 1245.72, 1476.87, 1306.44]}, {""text"": ""Aggregate Short-Term Liabilities $190,589.36"", ""bbox_px"": [253.24, 1302.24, 1475.48, 1361.93]}, {""text"": ""Extended Debt $402,054.62"", ""bbox_px"": [210.26, 1354.6, 1474.14, 1415.33]}, {""text"": ""Future Tax Obligations $26,134.23"", ""bbox_px"": [208.92, 1408.0, 1472.81, 1468.73]}, {""text"": ""Overall Obligations $618,778.21"", ""bbox_px"": [249.19, 1464.53, 1471.42, 1524.21]}, {""text"": ""Ordinary Shares ($0.01 nominal value) $158,181.71"", ""bbox_px"": [206.2, 1516.89, 1470.09, 1577.61]}, {""text"": ""Accumulated Profits $474,545.12"", ""bbox_px"": [204.87, 1570.29, 1468.75, 1631.02]}, {""text"": ""Owners' Interest Total $632,726.83"", ""bbox_px"": [245.13, 1626.81, 1467.37, 1686.5]}, {""text"": ""TOTAL OBLIGATIONS AND OWNER'S INTEREST $1,251,505.04"", ""bbox_px"": [285.4, 1683.34, 1465.98, 1741.98]}]}","{""document"": ""pro_doc_full_balance_sheet_720.pdf"", ""labels"": [{""text"": ""Ramirez Ltd"", ""bbox"": [62.692913250000004, 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1478, 933]}, {""text"": ""Branding and Intellectual Property $44,322.69"", ""bbox"": [214, 957, 1478, 987]}, {""text"": ""TOTAL RESOURCES $1,251,505.04"", ""bbox"": [298, 1012, 1478, 1042]}, {""text"": ""Vendor Payables $94,702.43"", ""bbox"": [214, 1153, 1479, 1183]}, {""text"": ""Pending Obligations $23,741.74"", ""bbox"": [215, 1206, 1479, 1236]}, {""text"": ""Near-Term Debt $72,145.19"", ""bbox"": [215, 1260, 1479, 1290]}, {""text"": ""Aggregate Short-Term Liabilities $190,589.36"", ""bbox"": [257, 1315, 1479, 1345]}, {""text"": ""Extended Debt $402,054.62"", ""bbox"": [215, 1369, 1479, 1399]}, {""text"": ""Future Tax Obligations $26,134.23"", ""bbox"": [215, 1422, 1479, 1452]}, {""text"": ""Overall Obligations $618,778.21"", ""bbox"": [257, 1478, 1479, 1508]}, {""text"": ""Ordinary Shares ($0.01 nominal value) $158,181.71"", ""bbox"": [215, 1531, 1479, 1561]}, {""text"": ""Accumulated Profits $474,545.12"", ""bbox"": [215, 1584, 1479, 1615]}, {""text"": ""Owners' Interest Total $632,726.83"", ""bbox"": [257, 1640, 1479, 1670]}, {""text"": ""TOTAL OBLIGATIONS AND OWNER'S INTEREST $1,251,505.04"", ""bbox"": [299, 1695, 1479, 1726]}]}" +721/721.png,pro_doc_full_balance_sheet,721,721/721.pdf,721/721.xlsx,"{""img_file"": ""pro_doc_full_balance_sheet_721.png"", ""img_width"": 1654, ""img_height"": 2339, ""labels"": [{""text"": ""Newton, Leon and Chapman"", ""bbox_px"": [155.89, 180.65, 744.87, 235.31]}, {""text"": ""RESOURCES"", ""bbox_px"": [160.28, 423.83, 371.99, 461.08]}, {""text"": ""LIABILITIES AND OWNERS' CAPITAL"", ""bbox_px"": [172.92, 1097.78, 762.87, 1142.05]}], ""values"": [{""text"": ""Liquid Reserves $264,103.79"", ""bbox_px"": [203.0, 461.11, 1466.88, 513.72]}, {""text"": ""Temporary Investments $80,147.94"", ""bbox_px"": [204.0, 514.51, 1467.88, 567.12]}, {""text"": ""Outstanding Receivables $162,166.56"", ""bbox_px"": [204.99, 567.92, 1468.86, 620.53]}, {""text"": ""Stocks $295,595.39"", ""bbox_px"": [205.98, 621.33, 1469.85, 673.94]}, {""text"": 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""Ordinary Shares $228,815.84"", ""bbox"": [209, 1523, 1473, 1570]}, {""text"": ""Accumulated Profits $686,447.53"", ""bbox"": [208, 1576, 1472, 1624]}, {""text"": ""Total Owners' Equity $915,263.37"", ""bbox"": [249, 1632, 1472, 1679]}, {""text"": ""Total Liabilities and Ownership $1,476,902.20"", ""bbox"": [291, 1688, 1471, 1735]}]}" +791/791.png,pro_doc_full_balance_sheet,791,791/791.pdf,791/791.xlsx,"{""img_file"": ""pro_doc_full_balance_sheet_791.png"", ""img_width"": 1654, ""img_height"": 2339, ""labels"": [{""text"": ""Chan LLC"", ""bbox_px"": [171.21, 180.61, 377.93, 224.97]}, {""text"": ""RESOURCES"", ""bbox_px"": [171.91, 416.82, 383.15, 450.78]}, {""text"": ""LIABILITIES AND OWNER'S EQUITY"", ""bbox_px"": [173.93, 1096.84, 745.6, 1131.87]}], ""values"": [{""text"": ""Liquid Assets $132,710.25"", ""bbox_px"": [213.75, 471.16, 1477.38, 504.07]}, {""text"": ""Temporary Investments $101,361.98"", ""bbox_px"": [213.91, 524.58, 1477.54, 557.49]}, {""text"": ""Net Receivables 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1238.58]}, {""text"": ""Short-Term Debt $68,542.17"", ""bbox_px"": [216.09, 1259.08, 1479.73, 1291.99]}, {""text"": ""Aggregate Current Liabilities $227,846.46"", ""bbox_px"": [257.92, 1314.58, 1479.89, 1347.37]}, {""text"": ""Non-Current Debt $347,693.51"", ""bbox_px"": [216.41, 1368.0, 1480.05, 1400.91]}, {""text"": ""Postponed Tax Obligations $21,397.49"", ""bbox_px"": [216.57, 1421.41, 1480.21, 1454.33]}, {""text"": ""Aggregate Liabilities $596,937.46"", ""bbox_px"": [258.4, 1476.92, 1480.37, 1509.71]}, {""text"": ""Ordinary Shares $84,684.44"", ""bbox_px"": [216.89, 1530.33, 1480.53, 1563.25]}, {""text"": ""Accumulated Profits $254,053.33"", ""bbox_px"": [217.05, 1583.75, 1480.69, 1616.67]}, {""text"": ""Total Owners' Interest $338,737.77"", ""bbox_px"": [258.88, 1639.25, 1480.85, 1672.05]}, {""text"": ""Total Liabilities and Equity $935,675.23"", ""bbox_px"": [300.72, 1694.75, 1481.02, 1727.42]}]}","{""document"": ""pro_doc_full_balance_sheet_791.pdf"", ""labels"": [{""text"": 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1426]}, {""text"": ""Postponed Tax Obligations $16,049.96"", ""bbox"": [209, 1426, 1474, 1479]}, {""text"": ""Overall Liabilities $439,444.89"", ""bbox"": [250, 1483, 1473, 1535]}, {""text"": ""Ordinary Shares $159,685.90"", ""bbox"": [207, 1535, 1472, 1588]}, {""text"": ""Accumulated Profits $479,057.71"", ""bbox"": [206, 1588, 1471, 1642]}, {""text"": ""Owners' Total Interest $638,743.61"", ""bbox"": [247, 1645, 1470, 1696]}, {""text"": ""Total Liabilities and Ownership Interest $1,078,188.50"", ""bbox"": [288, 1701, 1469, 1752]}]}" +794/794.png,pro_doc_full_balance_sheet,794,794/794.pdf,794/794.xlsx,"{""img_file"": ""pro_doc_full_balance_sheet_794.png"", ""img_width"": 1654, ""img_height"": 2339, ""labels"": [{""text"": ""Scott-Patterson"", ""bbox_px"": [156.75, 185.22, 483.19, 234.72]}, {""text"": ""RESOURCES"", ""bbox_px"": [160.93, 423.43, 372.62, 460.5]}, {""text"": ""LIABILITIES AND OWNERS' INTEREST"", ""bbox_px"": [172.97, 1097.32, 785.76, 1141.48]}], ""values"": [{""text"": ""Immediate Funds $129,873.10"", ""bbox_px"": [203.61, 461.67, 1467.48, 513.17]}, {""text"": ""Temporary Investments $102,860.31"", ""bbox_px"": [204.55, 515.08, 1468.42, 566.58]}, {""text"": ""Net Receivables $163,438.64"", ""bbox_px"": [205.49, 568.49, 1469.37, 619.99]}, {""text"": ""Stocks $119,351.82"", ""bbox_px"": [206.44, 621.9, 1470.35, 673.4]}, {""text"": ""Advanced Payments $19,966.21"", ""bbox_px"": [207.38, 675.31, 1471.26, 726.81]}, {""text"": ""Aggregate Liquid Assets $535,490.08"", ""bbox_px"": [250.02, 730.8, 1472.24, 781.56]}, {""text"": ""Physical Assets (Gross) $608,874.80"", ""bbox_px"": [209.31, 784.21, 1473.18, 835.71]}, {""text"": ""Minus: Accumulated Amortization $118,949.18"", ""bbox_px"": [210.25, 837.62, 1474.16, 889.12]}, {""text"": ""Net Physical Assets $489,925.62"", ""bbox_px"": [252.89, 893.11, 1475.11, 943.87]}, {""text"": ""Branding and Intellectual Properties $43,598.24"", ""bbox_px"": [212.18, 946.52, 1476.05, 998.02]}, {""text"": ""Overall Resources $1,069,013.94"", ""bbox_px"": [296.48, 1002.01, 1477.03, 1052.04]}, {""text"": ""Outstanding Bills $90,969.08"", ""bbox_px"": [215.65, 1142.65, 1479.52, 1194.15]}, {""text"": ""Pending Obligations $37,002.64"", ""bbox_px"": [216.59, 1196.06, 1480.47, 1247.56]}, {""text"": ""Short-Term Long Debt $51,024.73"", ""bbox_px"": [217.54, 1249.47, 1481.41, 1300.97]}, {""text"": ""Aggregate Immediate Liabilities $178,996.45"", ""bbox_px"": [260.18, 1304.96, 1482.39, 1355.72]}, {""text"": ""Extended Debt $314,691.92"", ""bbox_px"": [219.46, 1358.37, 1483.33, 1409.87]}, {""text"": ""Postponed Tax Obligations $31,533.65"", ""bbox_px"": [220.41, 1411.78, 1484.28, 1463.28]}, {""text"": ""Overall Liabilities $525,222.02"", ""bbox_px"": [263.05, 1467.27, 1485.26, 1518.04]}, {""text"": ""Ordinary Shares ($0.01 nominal value) $135,947.98"", ""bbox_px"": [222.33, 1520.68, 1486.2, 1572.18]}, {""text"": ""Accumulated Profits $407,843.94"", ""bbox_px"": [223.28, 1574.09, 1487.15, 1625.59]}, {""text"": 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1096.64, 824.14, 1139.54]}], ""values"": [{""text"": ""Immediate Funds $221,954.50"", ""bbox_px"": [205.64, 463.57, 1469.48, 511.32]}, {""text"": ""Temporary Investments $77,684.79"", ""bbox_px"": [206.43, 516.98, 1470.27, 564.74]}, {""text"": ""Net Receivables $162,411.14"", ""bbox_px"": [207.21, 570.39, 1471.09, 618.15]}, {""text"": ""Stocks $227,699.42"", ""bbox_px"": [208.0, 623.8, 1471.84, 671.56]}, {""text"": ""Advance Payments $19,131.65"", ""bbox_px"": [208.78, 677.22, 1472.63, 724.97]}, {""text"": ""Aggregate Short-Term Assets $708,881.50"", ""bbox_px"": [251.26, 732.71, 1473.44, 779.86]}, {""text"": ""Physical Assets (Gross) $756,231.23"", ""bbox_px"": [210.39, 786.12, 1474.23, 833.88]}, {""text"": ""Minus: Accumulated Amortization $135,979.20"", ""bbox_px"": [211.17, 839.54, 1475.02, 887.29]}, {""text"": ""Net Physical Assets $620,252.03"", ""bbox_px"": [253.65, 895.03, 1475.83, 942.17]}, {""text"": ""Brand Value and Intellectual Property $37,065.49"", ""bbox_px"": [212.78, 948.44, 1476.62, 996.2]}, {""text"": ""Total Resources $1,366,199.02"", ""bbox_px"": [296.92, 1003.94, 1477.44, 1050.47]}, {""text"": ""Payables $55,969.71"", ""bbox_px"": [215.66, 1144.58, 1479.51, 1192.34]}, {""text"": ""Accumulated Obligations $29,579.22"", ""bbox_px"": [216.45, 1197.99, 1480.3, 1245.75]}, {""text"": ""Near-Term Long Debt $25,075.63"", ""bbox_px"": [217.23, 1251.4, 1481.08, 1299.16]}, {""text"": ""Total Immediate Liabilities $110,624.56"", ""bbox_px"": [259.71, 1306.9, 1481.89, 1354.04]}, {""text"": ""Extended Debt $368,283.69"", ""bbox_px"": [218.84, 1360.31, 1482.68, 1408.07]}, {""text"": ""Postponed Tax Obligations $31,956.74"", ""bbox_px"": [219.62, 1413.72, 1483.47, 1461.48]}, {""text"": ""Total Obligations $510,864.99"", ""bbox_px"": [262.1, 1469.22, 1484.28, 1516.36]}, {""text"": ""Ordinary Shares $213,833.51"", ""bbox_px"": [221.23, 1522.63, 1485.07, 1570.39]}, {""text"": ""Accumulated Profits $641,500.52"", ""bbox_px"": [222.01, 1576.04, 1485.86, 1623.8]}, 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[{""text"": ""Immediate Funds $243,681.71"", ""bbox_px"": [217.74, 471.33, 1481.37, 504.15]}, {""text"": ""Temporary Investments $112,037.93"", ""bbox_px"": [217.59, 524.75, 1481.25, 557.56]}, {""text"": ""Outstanding Receivables $112,496.32"", ""bbox_px"": [217.43, 578.16, 1481.1, 610.98]}, {""text"": ""Stocks $230,415.63"", ""bbox_px"": [217.28, 631.58, 1480.91, 664.4]}, {""text"": ""Advanced Payments $11,211.32"", ""bbox_px"": [217.12, 685.0, 1480.83, 717.82]}, {""text"": ""Aggregate Short-Term Assets $709,842.91"", ""bbox_px"": [258.63, 740.62, 1480.6, 773.32]}, {""text"": ""Physical Assets (Gross) $440,207.76"", ""bbox_px"": [216.81, 793.92, 1480.44, 826.74]}, {""text"": ""Deduct: Depreciated Value $166,282.78"", ""bbox_px"": [216.66, 847.34, 1480.29, 880.15]}, {""text"": ""Net Physical Assets $273,924.98"", ""bbox_px"": [258.16, 902.96, 1480.13, 935.65]}, {""text"": ""Brand Value and Intellectual Property $63,638.47"", ""bbox_px"": [216.34, 956.26, 1479.98, 989.07]}, {""text"": 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[258, 1321, 1480, 1362]}, {""text"": ""Non-Current Debt $270,227.92"", ""bbox"": [217, 1375, 1481, 1417]}, {""text"": ""Future Tax Obligations $20,104.80"", ""bbox"": [217, 1428, 1481, 1470]}, {""text"": ""Total Debts $478,535.13"", ""bbox"": [260, 1484, 1482, 1525]}, {""text"": ""Ordinary Shares $152,878.23"", ""bbox"": [218, 1537, 1483, 1579]}, {""text"": ""Accumulated Profits $458,634.68"", ""bbox"": [219, 1590, 1483, 1633]}, {""text"": ""Total Equity $611,512.91"", ""bbox"": [261, 1646, 1484, 1687]}, {""text"": ""Total Liabilities and Equity $1,090,048.04"", ""bbox"": [304, 1701, 1484, 1743]}]}" +989/989.png,pro_doc_full_balance_sheet,989,989/989.pdf,989/989.xlsx,"{""img_file"": ""pro_doc_full_balance_sheet_989.png"", ""img_width"": 1654, ""img_height"": 2339, ""labels"": [{""text"": ""Johnson PLC"", ""bbox_px"": [189.45, 168.9, 472.09, 217.18]}, {""text"": ""RESOURCES"", ""bbox_px"": [185.82, 405.1, 397.46, 441.83]}, {""text"": ""OBLIGATIONS AND OWNER'S INTEREST"", ""bbox_px"": [174.86, 1086.1, 825.88, 1129.9]}], ""values"": [{""text"": ""Immediate Funds $131,150.82"", ""bbox_px"": [226.62, 463.35, 1490.48, 512.84]}, {""text"": ""Temporary Investments $117,665.99"", ""bbox_px"": [225.76, 516.76, 1489.66, 566.25]}, {""text"": ""Net Receivables $175,835.66"", ""bbox_px"": [224.9, 570.17, 1488.76, 619.66]}, {""text"": ""Stocks $211,615.91"", ""bbox_px"": [224.04, 623.58, 1487.94, 673.08]}, {""text"": ""Advanced Payments $14,333.25"", ""bbox_px"": [223.18, 676.99, 1487.05, 726.49]}, {""text"": ""Aggregate Current Resources $650,601.63"", ""bbox_px"": [263.95, 733.16, 1486.15, 781.98]}, {""text"": ""Gross Fixed Assets $689,222.16"", ""bbox_px"": [221.43, 785.9, 1485.29, 835.39]}, {""text"": ""Accumulated Amortization $168,611.72"", ""bbox_px"": [220.57, 839.31, 1484.46, 888.8]}, {""text"": ""Net Fixed Assets $520,610.44"", ""bbox_px"": [261.34, 895.47, 1483.54, 944.3]}, {""text"": ""Brand Value and Intellectual Property $39,608.82"", ""bbox_px"": [218.82, 948.21, 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185, 474, 232]}, {""text"": ""RESOURCES"", ""bbox"": [165, 421, 376, 456]}, {""text"": ""LIABILITIES AND EQUITY"", ""bbox"": [173, 1101, 577, 1140]}], ""values"": [{""text"": ""Liquid Assets $238,395.97"", ""bbox"": [206, 472, 1471, 516]}, {""text"": ""Temporary Investments $113,785.95"", ""bbox"": [207, 525, 1471, 569]}, {""text"": ""Outstanding Receivables $153,162.54"", ""bbox"": [208, 579, 1472, 623]}, {""text"": ""Stocks $217,470.51"", ""bbox"": [208, 632, 1473, 676]}, {""text"": ""Advance Payments $19,292.14"", ""bbox"": [209, 685, 1473, 730]}, {""text"": ""Aggregate Short-Term Assets $742,107.11"", ""bbox"": [252, 741, 1474, 784]}, {""text"": ""Fixed Assets (Gross) $510,446.04"", ""bbox"": [210, 794, 1474, 838]}, {""text"": ""Less: Total Depreciation $158,896.25"", ""bbox"": [211, 848, 1475, 892]}, {""text"": ""Net Fixed Assets $351,549.79"", ""bbox"": [253, 903, 1476, 946]}, {""text"": ""Intangible Assets and Goodwill $31,059.26"", ""bbox"": [212, 957, 1476, 1001]}, {""text"": ""Aggregate Resources $1,124,716.16"", ""bbox"": [297, 1012, 1477, 1055]}, {""text"": ""Payables $99,771.84"", ""bbox"": [214, 1153, 1479, 1197]}, {""text"": ""Accruals $32,693.83"", ""bbox"": [215, 1206, 1479, 1250]}, {""text"": ""Short-Term Debt $60,998.04"", ""bbox"": [216, 1260, 1480, 1304]}, {""text"": ""Aggregate Short-Term Liabilities $193,463.71"", ""bbox"": [258, 1315, 1480, 1358]}, {""text"": ""Non-Current Debt $239,213.73"", ""bbox"": [217, 1369, 1481, 1413]}, {""text"": ""Postponed Tax Obligations $28,811.82"", ""bbox"": [217, 1422, 1482, 1466]}, {""text"": ""Aggregate Liabilities $461,489.26"", ""bbox"": [260, 1478, 1482, 1521]}, {""text"": ""Ordinary Shares $165,806.73"", ""bbox"": [219, 1531, 1483, 1575]}, {""text"": ""Accumulated Profits $497,420.17"", ""bbox"": [219, 1584, 1484, 1629]}, {""text"": ""Total Equity $663,226.90"", ""bbox"": [262, 1640, 1484, 1683]}, {""text"": ""Aggregate Liabilities and Equity $1,124,716.16"", ""bbox"": [305, 1695, 1485, 1739]}]}"