digraph {
    node [style="filled,rounded"]
    node [shape=box]
    node [color="#444444"]
    ratio="compress"
    size="8,10"
    "LiabilitiesNoncurrent"[label = "Liabilities, \nNon-Current\n-6.17%" fillcolor="#EEEEEE"]
    "Liabilities"[label = "Liabilities\n-28.7%" fillcolor="#EEEEEE"]
    "LiabilitiesCurrent"[label = "Liabilities, \nCurrent\n-18.4%" fillcolor="#EEEEEE"]
    "remainder_Liabilities"[label = "Other \nLiabilities\n-5.31%" fillcolor="#EEEEEE"]
    "Goodwill"[label = "Goodwill\n-28.3%" fillcolor="#EEEEEE"]
    "Assets"[label = "Assets\n-40.6%" fillcolor="#FFC7AD"]
    "remainder_Assets"[label = "Other Assets\n-14.4%" fillcolor="#EEEEEE"]
    "AssetsNoncurrent"[label = "Assets, Non-\nCurrent\n4.03%" fillcolor="#EEEEEE"]
    "AssetsCurrent"[label = "Assets, \nCurrent\n-2.44%" fillcolor="#EEEEEE"]
    "AdministrativeAndMarketingExpense"[label = "Administrative \nand Marketing \nExp.\n-86.9%" fillcolor="#FFC7AD"]
    "Expenses"[label = "Expenses\n-118%" fillcolor="#ff7973"]
    "CostOfGoodsSold"[label = "Costs of \nGoods Sold\n22.9%" fillcolor="#EEEEEE"]
    "remainder_Expenses"[label = "Other Expenses\n8.60%" fillcolor="#EEEEEE"]
    "ResearchAndDevelopmentExpense"[label = "Research and \nDevelopment \nExp.\n-101%" fillcolor="#FFC7AD"]
    "remainder_Revenues"[label = "Other Revenues\n28.2%" fillcolor="#EEEEEE"]
    "Revenues"[label = "Revenues\n28.2%" fillcolor="#EEEEEE"]
    "NetIncome"[label = "Net Income\n-143%" fillcolor="#ff7973"]
    "remainder_NetIncome"[label = "Other Net \nIncome\n-130%" fillcolor="#ff7973"]
    "ComprehensiveNetIncome"[label = "Comprehensive \nNet Income\n-143%" fillcolor="#ff7973"]
    "EconomicCapitalRatiobeforeLimitedLiability"[label = "ECR before \nLimitedLiability\n-138%" fillcolor="#ff7973"]
    "EconomicCapitalRatio"[label = "Economic \nCapital Ratio\n-183%" fillcolor="#ff7973"]
    "LiabilitiesNoncurrent" -> "Liabilities" [label="-6.17%" color="#BBBBBB" penwidth="4", arrowsize=0.5]
    "Liabilities" -> "EconomicCapitalRatiobeforeLimitedLiability" [label="-28.7%" color="#BBBBBB" penwidth="4", arrowsize=0.5]
    "LiabilitiesCurrent" -> "Liabilities" [label="-18.4%" color="#BBBBBB" penwidth="4", arrowsize=0.5]
    "remainder_Liabilities" -> "Liabilities" [label="-5.31%" color="#BBBBBB" penwidth="4", arrowsize=0.5]
    "Goodwill" -> "Assets" [label="-28.3%" color="#BBBBBB" penwidth="4", arrowsize=0.5]
    "Assets" -> "EconomicCapitalRatiobeforeLimitedLiability" [label="-40.6%" color="#FFC7AD" penwidth="8", arrowsize=0.5]
    "remainder_Assets" -> "Assets" [label="-14.4%" color="#BBBBBB" penwidth="4", arrowsize=0.5]
    "AssetsNoncurrent" -> "Assets" [label="4.03%" color="#BBBBBB" penwidth="4", arrowsize=0.5]
    "AssetsCurrent" -> "Assets" [label="-2.44%" color="#BBBBBB" penwidth="4", arrowsize=0.5]
    "AdministrativeAndMarketingExpense" -> "Expenses" [label="-86.9%" color="#FFC7AD" penwidth="8", arrowsize=0.5]
    "Expenses" -> "NetIncome" [label="-118%" color="#ff7973" penwidth="12", arrowsize=0.5]
    "CostOfGoodsSold" -> "Expenses" [label="22.9%" color="#BBBBBB" penwidth="4", arrowsize=0.5]
    "remainder_Expenses" -> "Expenses" [label="8.60%" color="#BBBBBB" penwidth="4", arrowsize=0.5]
    "ResearchAndDevelopmentExpense" -> "Expenses" [label="-101%" color="#FFC7AD" penwidth="8", arrowsize=0.5]
    "remainder_Revenues" -> "Revenues" [label="28.2%" color="#BBBBBB" penwidth="4", arrowsize=0.5]
    "Revenues" -> "NetIncome" [label="28.2%" color="#BBBBBB" penwidth="4", arrowsize=0.5]
    "NetIncome" -> "ComprehensiveNetIncome" [label="-143%" color="#ff7973" penwidth="12", arrowsize=0.5]
    "remainder_NetIncome" -> "NetIncome" [label="-130%" color="#ff7973" penwidth="12", arrowsize=0.5]
    "ComprehensiveNetIncome" -> "EconomicCapitalRatiobeforeLimitedLiability" [label="-143%" color="#ff7973" penwidth="12", arrowsize=0.5]
    "EconomicCapitalRatiobeforeLimitedLiability" -> "EconomicCapitalRatio" [label="-138%" color="#ff7973" penwidth="12", arrowsize=0.5]
    "Assets" -> "Liabilities" [style = "invisible", arrowhead="none"]
}