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CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
12 Months Ended
Dec. 31, 2016
Dec. 31, 2015
Dec. 31, 2014
Operating activities:      
Net income $ 43,923,997 $ 13,047,584 $ 16,649,176
Adjustments to reconcile net income to net cash provided by operating activities:      
Long-lived assets impairment 198,689 1,622,588
Share-based compensation 2,702,089 3,687,951 1,792,819
Inventory write-down 62,422 175,568
Provision of allowance for doubtful accounts (1,053,041) (2,026,567) (3,823,744)
Depreciation of property, plant and equipment 33,822,082 31,361,026 28,007,943
Loss on disposal of Property Plant and Equipment 181,028 166,283 314,728
Deferred tax assets 445 (626,965)
Changes in operating assets and liabilities:      
Accounts receivable 14,890,598 (10,399,283) 4,775,333
Note receivables (2,634,860) 36,898,166 (34,702,180)
Prepaid expenses and other current assets 3,415,637 30,465 10,217,835
Advances to suppliers (761,045) 264,361 (513,373)
Inventories (2,258,281) (1,622,269) 484,562
Amount due from related parties (1,318,195) 5,481,362 2,193,604
Prepaid land use rights 557,162 595,716 623,413
Other non-current assets 161,657 229,688
Accounts payable 2,386,015 1,452,811 (475,966)
Note payables (1,403,994) (14,733,475) 31,992,814
Accrued expenses and other current liabilities 260,879 59,045 1,677,622
Income tax payable 4,420,313 940,732
Advances from customers (134,155) (2,051,000) (13,813,120)
Amount due to related parties 1,815,307 2,178,445 (453,075)
Deferred government subsidies (338,733) (124,842) 266,082
Net cash provided by operating activities 98,671,937 66,426,213 45,619,729
Investing activities:      
Purchases of property, plant and equipment (67,477,008) (81,364,037) (77,028,755)
(Decrease)/Increase in restricted cash 1,935,536 2,121,603 (13,560,277)
Proceeds from disposition of Nanjing Daqo 5,110,085
Investment accounted for under the cost-method (581,581)
Net cash used in investing activities (66,123,053) (74,132,349) (90,589,032)
Financing activities:      
Proceeds from related parties loans 126,400,842 245,957,818 275,134,122
Repayment of related parties loans (148,463,137) (276,575,346) (275,088,560)
Proceeds from bank borrowings 106,986,666 237,031,976 176,114,553
Repayment of bank borrowings (116,255,480) (220,611,404) (186,549,888)
Purchase and retirement of treasury shares (1,350,164)
Proceeds from options exercised 1,051,586 275,783 37,080
Proceeds from follow-on equity offering 30,030,000 58,000,000
Insurance cost for follow-on equity offering (2,033,041) (3,375,553)
Capital injection from noncontrolling shareholders 2,516,457
Net cash provided by (used in) financing activities (30,279,523) 15,242,079 44,271,754
Effect of exchange rate changes on cash and cash equivalents (771,894) (114,415) (65,052)
Net increase (decrease) in cash and cash equivalents 1,497,467 7,421,528 (762,601)
Cash and cash equivalents at the beginning of the year 14,490,011 7,068,483 7,831,084
Cash and cash equivalents at the end of the year 15,987,478 14,490,011 7,068,483
Supplemental disclosure of cash flow information:      
Interest paid, net of capitalized interest 14,215,745 13,284,899 17,771,457
Income taxes paid 2,998,658 2,726,825
Supplemental schedule of non-cash investing activities:      
Accrued purchases of property, plant and equipment 65,625,603 52,786,103 85,640,643
Purchases of property, plant and equipment included in amounts due to related parties $ 3,351,004 $ 262,974 $ 5,651,053