{"directed": true, "multigraph": false, "graph": {"id": "0001651562"}, "nodes": [{"effect": 0.2778142538872288, "label": "Liabilities, \nCurrent", "id": "LiabilitiesCurrent"}, {"effect": 1.3026631252872871, "label": "Liabilities", "id": "Liabilities"}, {"effect": 0.7779727705631467, "label": "Long-term Debt", "id": "LongTermDebt"}, {"effect": 0.40373732692547204, "label": "Other \nLiabilities", "id": "remainder_Liabilities"}, {"effect": 1.3033332955166497, "label": "Assets, \nCurrent", "id": "AssetsCurrent"}, {"effect": 0.24809193335594415, "label": "Assets", "id": "Assets"}, {"effect": -0.061206476109018304, "label": "Other Assets", "id": "remainder_Assets"}, {"effect": -0.060243941199640716, "label": "Assets, \nNoncurrent", "id": "AssetsNoncurrent"}, {"effect": -0.391154707315839, "label": "Intangible \nAssets", "id": "IntangibleAssets"}, {"effect": 0.13179106524121398, "label": "Other Expenses", "id": "remainder_Expenses"}, {"effect": -0.11208526795559859, "label": "Expenses", "id": "Expenses"}, {"effect": 0.03761470589725313, "label": "General and \nAdministrative \nExp.", "id": "GeneralAndAdministrativeExpense"}, {"effect": -0.12134610924424383, "label": "Research and \nDevelopment \nExp.", "id": "ResearchAndDevelopmentExpense"}, {"effect": -0.16303516625368797, "label": "Selling and \nMarketing Exp.", "id": "SellingAndMarketingExpense"}, {"effect": 0.11375410386870399, "label": "Other Revenues", "id": "remainder_Revenues"}, {"effect": 0.11375410386870399, "label": "Revenues", "id": "Revenues"}, {"effect": 1.519961492180106, "label": "Stockholders \nEquity", "id": "StockholdersEquity"}, {"effect": 0.014419296569220919, "label": "Net Income", "id": "NetIncome"}, {"effect": 0.01733875223576309, "label": "Comprehensive \nNet Income", "id": "ComprehensiveNetIncome"}, {"effect": 1.7975547887046242, "label": "ECR before \nLimitedLiability", "id": "EconomicCapitalRatiobeforeLimitedLiability"}, {"effect": 1.5095589593287104, "label": "Economic \nCapital Ratio", "id": "EconomicCapitalRatio"}], "links": [{"effect": 0.2778142538872288, "source": "LiabilitiesCurrent", "target": "Liabilities"}, {"effect": 0.9901843075298569, "source": "Liabilities", "target": "StockholdersEquity"}, {"effect": 0.48289271833795766, "source": "Liabilities", "target": "EconomicCapitalRatiobeforeLimitedLiability"}, {"effect": 0.7779727705631467, "source": "LongTermDebt", "target": "Liabilities"}, {"effect": 0.40373732692547204, "source": "remainder_Liabilities", "target": "Liabilities"}, {"effect": 1.3033332955166497, "source": "AssetsCurrent", "target": "Assets"}, {"effect": 0.5219436219143923, "source": "Assets", "target": "StockholdersEquity"}, {"effect": -0.3563852785181574, "source": "Assets", "target": "EconomicCapitalRatiobeforeLimitedLiability"}, {"effect": -0.061206476109018304, "source": "remainder_Assets", "target": "Assets"}, {"effect": -0.060243941199640716, "source": "AssetsNoncurrent", "target": "Assets"}, {"effect": -0.391154707315839, "source": "IntangibleAssets", "target": "Assets"}, {"effect": 0.13179106524121398, "source": "remainder_Expenses", "target": "Expenses"}, {"effect": -0.11208526795559859, "source": "Expenses", "target": "NetIncome"}, {"effect": 0.03761470589725313, "source": "GeneralAndAdministrativeExpense", "target": "Expenses"}, {"effect": -0.12134610924424383, "source": "ResearchAndDevelopmentExpense", "target": "Expenses"}, {"effect": -0.16303516625368797, "source": "SellingAndMarketingExpense", "target": "Expenses"}, {"effect": 0.11375410386870399, "source": "remainder_Revenues", "target": "Revenues"}, {"effect": 0.11375410386870399, "source": "Revenues", "target": "NetIncome"}, {"effect": 1.519961492180106, "source": "StockholdersEquity", "target": "EconomicCapitalRatiobeforeLimitedLiability"}, {"effect": 0.014419296569220919, "source": "NetIncome", "target": "ComprehensiveNetIncome"}, {"effect": 0.01733875223576309, "source": "ComprehensiveNetIncome", "target": "EconomicCapitalRatiobeforeLimitedLiability"}, {"effect": 1.7975547887046242, "source": "EconomicCapitalRatiobeforeLimitedLiability", "target": "EconomicCapitalRatio"}]}