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Consolidated Statement of Cash Flows - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Statement of Cash Flows [Abstract]      
Net (loss)/income $ 2,811 $ (19,853) $ (46,041)
Provision/(reversal) for bad debts (126) 2,014 40
Impairment for inventory obsolescence 657 96 16
Impairment for long-term investment 80
Depreciation of property and equipment 985 839 2,022
Amortization of intangible assets 136 142 143
Gains on disposals of property and equipment (203) (215) (94)
Interest expenses 133 441 188
Amortization of beneficial conversion feature 149
Share-based compensation 3,314 3,098 8,757
Fair value losses on other investments 2,748 12,958 12,363
Share of profit in equity method investments (357) (72) (287)
Foreign currency exchange losses, net 514 2,519 1,106
Changes in operating assets and liabilities      
Accounts receivable (390) 7,715 (8,239)
Prepayments and other assets (1,713) 1,825 985
Inventories 784 2,413 (302)
Accrued expenses, accounts payable and other liabilities (691) (9,647) 5,917
Amounts due to related parties (231) 28 (50)
Amounts due from related parties (2,247) 455 1,111
Contract liabilities 373 (523) 686
Other non-current liabilities (59) (58) (59)
Operating lease right-of-use assets (2,115)
Operating lease liabilities 2,184
Net cash (used in)/generated from operating activities 6,507 4,404 (21,738)
Cash flows from investing activities      
Purchase of property and equipment (2,065) (411) (787)
Purchase of intangible assets (14) (92)
Proceeds from disposal of property and equipment 217 266 193
Cash paid for equity method investment (247)
Dividend received from long-term investment 83
(Increase)/decrease in short-term deposit 196 (2)
Purchase of other investments (3)
Proceeds from redemption of other investment 1,329
Net cash used in investing activities (240) (162) (935)
Cash flows from financing activities      
Proceeds from other borrowings 2,541 212
Repayments of other borrowings (34) (163)
Proceeds from issuance of convertible bonds 4,735
Redemption of convertible bonds (1,050)
Proceeds from bank borrowings 5,369 9,496 11,419
Repayments of bank borrowings (5,416) (9,452) (11,968)
Proceeds from exercise of share options 49 1,284
Payments relating to current Lease Liability (238)
Net cash generated from financing activities 2,509 3,540 735
(Decrease)/increase in cash, cash equivalents and restricted cash 8,776 7,782 (21,938)
Cash, cash equivalents and restricted cash at beginning of year 14,921 7,868 30,226
Effect of exchange rates on cash, cash equivalents and restricted cash (326) (729) (420)
Cash, cash equivalents and restricted cash at end of year 23,371 14,921 7,868
Supplemental disclosure of cash flow information      
Interest paid (133) (426) (188)
Cash paid for amounts include in operating lease liabilities (15)
Supplemental disclosure of non-cash operating activities      
Right-of-use assets obtained in exchange for operating lease obligations $ 2,806 $ 444