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SCHEDULE OF FACILITIES SECURED BY THE COMPANY'S ASSETS (Details) - USD ($)
Sep. 30, 2018
Dec. 31, 2017
Pledged deposits $ 17,668,797 $ 7,808,329
Collateral Amount 57,863,871 55,667,476
Prepaid land use rights [Member]    
Collateral Amount 7,498,421 8,044,935
Buildings [Member]    
Collateral Amount 16,848,321 18,391,993
Machinery and equipment [Member]    
Collateral Amount 6,420,884 2,374,748
Bills receivable [Member]    
Collateral Amount $ 9,427,448 $ 19,047,471