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CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
12 Months Ended
Dec. 31, 2015
Dec. 31, 2014
CASH FLOWS FROM OPERATING ACTIVITIES:    
Income including noncontrolling interest $ 18,367,843 $ 19,725,192
Adjustments to reconcile income including noncontrolling interest to net cash provided by (used in) operating activities:    
Changes in sales type leases receivables 0 (18,868,632)
Shares issued for the cost of system purchase 0 14,491,450
Depreciation and amortization 26,038 20,931
Amortization of prepaid loan fees 0 207,550
Stock option expense 9,390 0
Stock compensation for IR service 0 187,500
Investment income (184,160) (20,739)
Changes in deferred tax (1,252,455) 1,055,464
Loss on sale of construction in progress of Tangshan Rongfeng 3,780,138 0
Loss on disposal of property and equipment 0 127
Changes in assets and liabilities:    
Interest receivable on sales type leases 378,307 (211,447)
Collection of principal on sales type leases 50,239,283 21,675,548
Prepaid expenses (295,539) 90,489
Accounts receivable (16,039,444) 54,767
Other receivables 598,195 865,198
Construction in progress 9,300,928 (70,645,162)
Accounts payable 343,704 (7,021,743)
Taxes payable (1,464,907) 1,054,964
Interest payable on entrusted loans 0 (1,584)
Refundable deposit from customers for systems leasing 0 488,353
Accrued liabilities and other payables 104,145 1,731,604
Net cash provided by (used in) operating activities 63,911,466 (35,120,170)
CASH FLOWS FROM INVESTING ACTIVITIES:    
Changes of restricted cash (1,178,473) 2,278,980
Acquisition of property and equipment (19,842) (2,165)
Net cash (used in) provided by investing activities (1,198,315) 2,276,815
CASH FLOWS FROM FINANCING ACTIVITIES:    
Notes receivable 0 651,137
Proceeds from loans 6,422,195 60,832,479
Repayment of loans (58,498,170) (15,830,769)
Long term payable (2,359,225) (1,405,711)
Proceeds from shares issued 0 18,918,173
Advance from related parties 3,211 (2,361,837)
Net cash (used in) provided by financing activities (54,431,989) 60,803,472
EFFECT OF EXCHANGE RATE CHANGE ON CASH AND EQUIVALENTS (2,402,804) 209,383
NET INCREASE IN CASH AND EQUIVALENTS 5,878,358 28,169,500
CASH AND EQUIVALENTS, BEGINNING OF PERIOD 35,871,030 7,701,530
CASH AND EQUIVALENTS, END OF PERIOD 41,749,388 35,871,030
Supplemental cash flow data:    
Income tax paid 6,226,976 3,990,323
Interest paid $ 16,355,968 $ 13,834,312