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Bank Loans (Tables)
3 Months Ended
Mar. 31, 2017
SCHEDULE OF DEBT [Table Text Block]
 

 

  December 31,     March 31,  
 

 

  2016     2017  
 

Short-term bank borrowings

$ 1,439,947   $ 1,451,653  
 

Long-term bank borrowings

  18,258,528     18,406,956  
 

 

$ 19,698,475   $ 19,858,609  
SCHEDULE OF FACILITIES SECURED BY THE COMPANY'S ASSETS [Table Text Block]
 

 

  December 31,     March 31,  
 

 

  2016     2017  
 

Pledged deposits (note 2)

$ 3,064,155   $ 2,955,293  
 

Prepaid land use rights (note 9)

  7,698,523     7,720,331  
 

Buildings

  11,729,172     11,740,821  
 

Machinery and equipment

  2,598,882     2,920,192  
 

Construction in progress

  6,156,488     6,185,395  
 

 

$ 31,247,220   $ 31,522,032