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27. Acquisitions and Disposal of Subsidiary (Tables)
12 Months Ended
Mar. 31, 2019
Business Combinations [Abstract]  
Purchase price allocation

    Purchase price allocation
    As of April 28, 2017
Assets:    
Cash and cash equivalents   $ 310
Restricted cash   10,204
Trading securities   858

Available-for-sale securities, at fair value

 

  324
Fixed assets   313
Intangible assets   1,971
Brokerage and other receivables   856
Other assets   34
Total assets   $ 14,870
     
Liabilities:    
Customer liabilities   $ 10,204
Deferred income tax liabilities   33
Other liabilities   50
Total liabilities   $ 10,287
     
Net assets acquired   $ 4,583
     
Goodwill   1,511
     
Total purchase price   $ 6,094

 

    Purchase price allocation
    As of May 18, 2017
Assets:    
Cash and cash equivalents   $ 120
Restricted cash   938
Brokerage and other receivables   4,637
Loan issued   338
Fixed assets   460
Intangible assets   4,523
Deferred income tax assets   60
Other assets   81
Total assets   $ 11,157
     
Liabilities:    
Customer liabilities   $ 4,103
Trade and other payables   3
Other liabilities   14
Total liabilities   $ 4,120
     
Net assets acquired   $ 7,037
     
Goodwill   -
     
Total purchase price   $ 7,037

 

    Purchase price allocation
    As of November 1, 2017
Assets:    
Cash and cash equivalents   $ 432
Trading securities   6
Fixed assets   88
Customer list   176
Brokerage and other receivables   947
Other assets   3
Total assets   $ 1,652
     
Liabilities:    
Customer liabilities   $ 997
Trade payables   1
Other liabilities   1
Total liabilities   $ 999
     
Net assets acquired   $ 653
     
Goodwill   832
     
Total purchase price   $ 1,485