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ORGANIZATION AND PRINCIPAL ACTIVITIES (Details 2) (USD $)
12 Months Ended
Feb. 28, 2013
item
Feb. 29, 2012
Feb. 28, 2011
Feb. 28, 2010
ORGANIZATION AND PRINCIPAL ACTIVITIES        
Net revenue from VIEs and their subsidiaries and schools as a percentage of total net revenue 82.60%      
Organization and principal activities        
Number of legal owner and director of variable interest entities, who is also a director of the reporting entity 1      
Amount payable by VIEs and their subsidiaries and schools to the WFOE $ 13,000,000 $ 4,700,000 $ 2,800,000  
Balance sheet        
Cash and cash equivalents 185,080,673 188,579,767 173,165,661 50,752,481
Term deposits 24,110,716 10,328,116    
Prepaid expenses and other current assets 11,906,317 9,011,975    
Total current assets 226,438,543 210,235,030    
Property and equipment, net 76,115,088 76,726,219    
Total assets 316,041,879 294,652,905    
Deferred revenue 102,513,876 85,594,032    
Accrued expenses and other current liabilities 17,196,001 15,284,190    
Total current liabilities 124,497,655 104,379,120    
Total liabilities 124,596,600 104,535,614    
Income statement and cash flow statement        
Net revenues 225,931,095 177,519,672 110,588,299  
Net income 33,440,066 24,313,653 24,041,150  
Net cash provided by operating activities 65,409,745 73,397,671 53,822,623  
Net cash used in investing activities (28,118,705) (59,095,759) (29,567,949)  
Net cash provided by/ (used in) financing activities (41,465,075) (470,022) 96,613,386  
Company and its subsidiaries, excluding the Company's VIEs
       
Balance sheet        
Cash and cash equivalents 108,214,353 140,023,561    
Term deposits 12,859,048      
Prepaid expenses and other current assets 2,084,846 2,991,822    
Total current assets 123,158,247 143,015,383    
Property and equipment, net 25,729,264 24,228,296    
Other non-current assets 5,583,735 2,758,225    
Total assets 154,471,246 170,001,904    
Deferred revenue 34,770,428 35,198,087    
Accrued expenses and other current liabilities 6,809,150 5,038,610    
Total current liabilities 41,579,578 40,236,697    
Total non-current liabilities 62,100 110,613    
Total liabilities 41,641,678 40,347,310    
Income statement and cash flow statement        
Net revenues 39,355,193 34,869,533 13,908,930  
Net income (21,732,146) (20,923,276) (9,357,616)  
Net cash provided by operating activities 28,060,174 28,939,023 38,384,726  
Net cash used in investing activities (19,079,248) (32,078,753) (27,009,413)  
Net cash provided by/ (used in) financing activities (41,465,075) (470,022) 96,958,295  
TAL Beijing | Nominee shareholders of the VIEs
       
Organization and principal activities        
Number of loans received by the nominee shareholders of the VIEs in the past for capital contribution 2      
VIEs
       
Balance sheet        
Cash and cash equivalents 76,866,320 48,556,206    
Term deposits 11,251,668 10,328,116    
Prepaid expenses and other current assets 15,162,308 8,335,325    
Total current assets 103,280,296 67,219,647    
Property and equipment, net 50,385,824 52,497,923    
Other non-current assets 7,904,513 4,933,431    
Total assets 161,570,633 124,651,001    
Deferred revenue 67,743,448 50,395,945    
Accrued expenses and other current liabilities 15,174,629 13,746,478    
Total current liabilities 82,918,077 64,142,423    
Total non-current liabilities 36,845 45,881    
Total liabilities 82,954,922 64,188,304    
Income statement and cash flow statement        
Net revenues 186,575,902 142,650,139 96,679,369  
Net income 55,172,212 45,236,929 33,398,766  
Net cash provided by operating activities 37,349,571 44,458,648 15,437,897  
Net cash used in investing activities (9,039,457) (27,017,006) (2,558,536)  
Net cash provided by/ (used in) financing activities     $ (344,909)  
Xueersi Education and Xueersi Network
       
Organization and principal activities        
Number of legal owners of VIE 4      
Beijing Dongfangrenli
       
Organization and principal activities        
Number of legal owners of VIE 3      
Mr. Bangxin Zhang
       
Income statement and cash flow statement        
Voting interest in any vote pertaining to the appointment, removal, or replacement of a director 49.00%