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ORGANIZATION AND PRINCIPAL ACTIVITIES - Consolidated financial statements (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2020
Dec. 31, 2019
Dec. 31, 2018
Cash $ 3,162 $ 3,190 $ 7,950
Accounts receivable   219  
Inventories   20,990  
Prepaid expenses and other current assets 43,624 27,586 38,714
Total current assets 46,786 51,985  
Goodwill 0    
Property and equipment, net 45 153  
Total non-current assets 1,681 2,405  
TOTAL ASSETS 48,467 54,390  
Accounts payable 402 4,122  
Lease liabilities - current 39 1,785  
Short-term debt 15,257 16,630  
Accrued expenses and other current liabilities 14,683 17,302 10,644
Amounts due to related parties 2,960 4,214  
Advance from customers 1,863 1,677  
Income tax payable 4,042 5,319  
Total current liabilities 40,936 51,049  
Lease liabilities - non-current 26 810  
Total non-current liabilities 26 810  
TOTAL LIABILITIES 40,962 51,859  
Revenues 33,160 334,697 431,404
Net loss (5,320) (69,068) (89,532)
Loss from discontinued operations     (594)
Net cash used in operating activities (3,878) (4,745) (9,749)
Net cash used in investing activities   1,223 98,982
Net cash provided by (used in) financing activities 3,917 (6,328) (138,637)
WFOE      
Service fees 0 0  
Consolidated VIEs | WFOE      
Cash 108 1,080  
Accounts receivable   203  
Inventories   20,598  
Prepaid expenses and other current assets 43,536 27,083  
Total current assets 43,644 48,964  
Property and equipment, net 41 146  
Right-of-use assets 73 1,691  
Total non-current assets 114 1,837  
TOTAL ASSETS 43,758 50,801  
Accounts payable 306 4,035  
Lease liabilities - current 39 1,224  
Short-term debt 13,116 14,630  
Accrued expenses and other current liabilities 12,394 13,770  
Amounts due to related parties 2,725    
Advance from customers   1,622  
Income tax payable 3,391 4,469  
Deferred revenue 1,862    
Total current liabilities 33,833 39,750  
Lease liabilities - non-current 26 810  
Total non-current liabilities 26 810  
TOTAL LIABILITIES 33,859 40,560  
Revenues 32,823 332,629 428,492
Net loss (653) (2,151) (38,561)
Loss from discontinued operations     (594)
Net cash used in operating activities (395) (3,948) (8,433)
Net cash used in investing activities   (68) (9,980)
Net cash provided by (used in) financing activities $ (634) (1,205) $ 22,193
Consolidated VIEs | WFOE | Recourse [Member]      
Short-term debt   $ 7,900