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FAIR VALUE MEASUREMENTS (Tables)
12 Months Ended
Dec. 31, 2015
FAIR VALUE MEASUREMENTS [Abstract]  
Schedule of fair value measurements for each class of assets on nonrecurring basis
    Fair Value Measurement at the End of the Reporting Period Using  
   

As of

December 31,

    Quoted Prices in Active     Significance     Significant        
    2015     Markets for Identical     Other Observable     Unobservable        
   
    Assets (Level 1)     Inputs (Level 2)     Inputs (Level 3)     Total losses  
    RMB     RMB     RMB     RMB     RMB  
Description                                        

Recurring fair value

measurements:

                                       
Derivative liability
     688                688             (33,731

Nonrecurring fair value

measurements:

                                       
Long-lived assets held and used*     4,540                   4,540       (23,125 )