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PREPAYMENTS AND OTHER CURRENT ASSETS (Details)
12 Months Ended
Dec. 31, 2015
USD ($)
Dec. 31, 2015
CNY (¥)
Dec. 31, 2014
CNY (¥)
Derivative [Line Items]      
Value-added tax deductable   ¥ 697,764,644 ¥ 685,696,580
Deposit for customer duty, bidding and others   99,610,364 ¥ 68,027,240
Assets held for sale related to land use right   38,832,489
Prepayment for income tax   31,683,090 ¥ 17,439,451
Receivables related to land use right disposal   20,435,188
Prepaid Commision   18,970,826 ¥ 9,095,471
Prepaid insurance premium   17,634,229 15,060,226
Rental deposit and prepayment   15,850,741 31,054,808
Employee advances   15,449,587 15,602,935
Receivables of option exercised   10,210,003 226,952
Deposits related to construction of solar projects   13,385,573 9,880,000
Prepaid land lease   9,138,476 ¥ 674,617
Derivative assets   7,277,406
Prepaid professional service fee   ¥ 4,526,264 ¥ 18,149,624
Prepayment for share repurchase   25,471,153
Deposits related to acquisition of subsidiaries   10,000,000
Others   ¥ 34,294,522 6,543,254
Total $ 159,786,255 ¥ 1,035,063,402 ¥ 912,922,311
Foreign exchange call spread combined option contracts [Member]      
Derivative [Line Items]      
Maturity period of derivative 12 months