ATA INC (Parent Company) (Details 3) |
1 Months Ended | 12 Months Ended | ||||
|---|---|---|---|---|---|---|
|
Jul. 31, 2014
USD ($)
|
Jul. 31, 2014
CNY (¥)
|
Mar. 31, 2016
USD ($)
|
Mar. 31, 2016
CNY (¥)
|
Mar. 31, 2015
CNY (¥)
|
Mar. 31, 2014
CNY (¥)
|
|
| Condensed Financial Statements | ||||||
| Net cash used in operating activities | $ 10,003,840 | ¥ 64,504,771 | ¥ 45,852,235 | ¥ 37,343,760 | ||
| Cash flows from investing activities : | ||||||
| Payment for XingWei acquisition | (9,826,706) | |||||
| Net cash used in investing activities | (5,707,422) | (36,801,464) | (52,759,443) | (13,959,185) | ||
| Cash flows from financing activities : | ||||||
| Cash paid for repurchase of common shares | (3,029,781) | (19,536,028) | (8,362,136) | (132,528) | ||
| Proceeds from exercise of share options | 3,903,952 | |||||
| Special cash dividend | $ (9,500,000) | ¥ (58,349,122) | (58,349,122) | |||
| Net cash used in financing activities | (3,149,873) | (20,310,382) | (63,660,710) | (700,409) | ||
| Effect of foreign exchange rate changes on cash | (3,188) | (20,559) | (1,083,809) | (766,783) | ||
| Net decrease in cash | 1,143,357 | 7,372,366 | (71,651,727) | 21,917,383 | ||
| ATA INC. | ||||||
| Condensed Financial Statements | ||||||
| Net cash used in operating activities | (488,633) | (3,150,707) | (4,304,976) | (4,994,557) | ||
| Cash flows from investing activities : | ||||||
| Collection from (payment to) subsidiaries | 2,699,526 | 17,406,546 | 7,670,574 | (6,911,210) | ||
| Payment for XingWei acquisition | (19,612,120) | |||||
| Net cash used in investing activities | 2,699,526 | 17,406,546 | 7,670,574 | (26,523,330) | ||
| Cash flows from financing activities : | ||||||
| Cash paid for repurchase of common shares | (3,029,781) | (19,536,028) | (8,362,136) | (132,528) | ||
| Proceeds from exercise of share options | 3,903,952 | |||||
| Net cash used in financing activities | (3,029,781) | (19,536,028) | (4,458,184) | (132,528) | ||
| Effect of foreign exchange rate changes on cash | 1,154 | 7,443 | (30,753) | (766,783) | ||
| Net decrease in cash | (817,734) | (5,272,746) | (1,123,339) | (32,417,198) | ||
| Cash at beginning of year | 1,272,348 | 8,204,099 | 9,327,438 | 41,744,636 | ||
| Cash at end of year | $ 454,614 | ¥ 2,931,353 | ¥ 8,204,099 | ¥ 9,327,438 | ||