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Consolidated Balance Sheets (Parenthetical) - USD ($)
$ in Thousands
Dec. 31, 2019
Dec. 31, 2018
Contract liabilities and deferred income, current portion of the consolidated variable interest entities and VIE's subsidiaries without recourse $ 31,988 $ 30,295
Contract liabilities and deferred income, non-current portion of the consolidated variable interest entities and VIE's subsidiaries without recourse $ 1,223 $ 1,850
Common stock, shares issued 368,877,205 368,877,209
Common stock, shares outstanding 339,165,241 336,522,780
Treasury stock, shares 29,711,964 32,354,429
Variable Interest Entity, Primary Beneficiary [Member]    
Accounts payable, consolidated variable interest entities and VIE's subsidiaries without recourse $ 45,162 $ 48,276
Due to related party, consolidated variable interest entities and VIE's subsidiaries without recourse 2 298
Contract liabilities and deferred income, current portion of the consolidated variable interest entities and VIE's subsidiaries without recourse 31,988 29,794
Income tax payable, consolidated variable interest entities and VIE's subsidiaries without recourse 2,436 2,437
Accrued liabilities and other payables, consolidated variable interest entities and VIE's subsidiaries without recourse 191,406 158,288
Held-for-sale liabilities, consolidated variable interest entities and VIE's subsidiaries without recourse 0 3,309
Lease liabilities, current portion of the consolidated VIE and its subsidiaries without recourse 4,621 0
Contract liabilities and deferred income, non-current portion of the consolidated variable interest entities and VIE's subsidiaries without recourse 1,223 1,850
Deferred Taxes Liabilities Consolidated Variable Interest Entities Without Recourse 1,179 1,366
Bank borrowings, consolidated variable interest entities and VIE's subsidiaries without recourse 11,324 0
Lease liabilities, non-current portion, consolidated variable interest entities and VIE's subsidiaries without recourse $ 4,073 $ 0