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FAIR VALUE OF ASSETS AND LIABILITIES (Schedule of Additional Information) (Details) - CNY (¥)
¥ in Thousands
12 Months Ended
Dec. 31, 2016
Dec. 31, 2015
Loans    
Beginning balance ¥ 221,268  
Purchases of loans 299,956 ¥ 247,434
Collection of principal (135,172) (10,425)
Change in fair value (15,019) (15,741)
Ending balance 371,033 221,268
Payable to investors    
Beginning balance 252,907  
Initial contribution 270,000 250,000
Interest and penalties received 30,342 4,516
Deductibles expenses associated with the Consolidated ABFE operating (5,518) (714)
Principal and interest payments to the Fund No. 1 (263,054)  
Change in fair value 1,204 (895)
Ending balance 418,686 ¥ 252,907
ABS    
Payable to investors    
Issuances of Asset Backed Special Plan 202,500  
Principal and interest payments to Asset Backed Special Plan investors ¥ (69,695)