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Business Combinations (Tables)
9 Months Ended
Mar. 31, 2017
Business Combinations [Abstract]  
Summary of purchase price allocations at fair value

Cash $1,037,297 
Accounts receivable  1,001,521 
Prepaid expenses and other current assets  17,716 
Inventories  961,936 
Machinery and equipment  215,277 
Intangible assets  883,689 
Goodwill  661,066 
Accounts payable  (708,724)
Customer deposits  (435,342)
Accrued expenses and other payables  (806,697)
Short-term loan  (160,641)
Purchase price $2,667,098 
Summary of purchase consideration paid for VIE

Cash $1,160,912 
Convertible notes  1,485,800 
Derivative liability  20,386 
  $2,667,098