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CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
12 Months Ended
Jun. 30, 2016
Jun. 30, 2015
CASH FLOWS FROM OPERATING ACTIVITIES:    
Net income $ 8,292,822 $ 7,440,400
Adjustments to reconcile net income to net cash provided by operating activities:    
Depreciation and amortization 871,099 811,135
Provision for doubtful accounts 324,515 111,303
Change of inventory reserve 290,515 62,447
Deferred tax benefit (120,765) (64,419)
Income from equity method investments (1,796,527) (1,788,288)
Impairment of investment 0 244,350
Gain on disposal of investment (233,249) 0
Changes in operating assets and liabilities:    
Accounts receivable (8,395) (3,481,607)
Advances to suppliers 1,249,897 1,916,195
Inventories 2,834,739 (2,809,027)
Other receivables 172,176 (277,087)
Prepaid expense and other assets 135,528 (43,287)
Due from related parties (601,940) 1,056,256
Long-term deposit and other noncurrent assets 0 9,298
Prepaid leases 495,122 (1,139,092)
Accounts payable 105,382 133,055
Advances from customers (21,266) 20,281
Other payables 1,008,132 92,962
Taxes payable 292,580 351,914
NET CASH PROVIDED BY OPERATING ACTIVITIES 13,290,365 2,646,789
CASH FLOWS FROM INVESTING ACTIVITIES:    
Acquisitions of property and equipment (498,772) (101,620)
Proceeds from withdrawal of investments 466,497 0
Proceeds from (repayment of) loans to third parties 189,275 (224,816)
Proceeds from (repayment of) loans to related parties 1,366,787 (969,711)
Distribution received from investments in unconsolidated entities 2,428,894 65,160
NET CASH PROVIDED BY (USED IN) INVESTING ACTIVITIES 3,952,681 (1,230,987)
CASH FLOWS FROM FINANCING ACTIVITIES:    
Proceeds from short-term bank loans 3,148,077 3,583,800
Repayment of short-term bank loans (3,526,423) (2,893,104)
Proceeds from private equity 0 699,818
Proceeds from advances from related parties 122,424 136,836
NET CASH PROVIDED BY (USED IN) FINANCING ACTIVITIES (255,922) 1,527,350
EFFECT OF EXCHANGE RATE CHANGE ON CASH (1,033,855) 23,108
NET INCREASE IN CASH 15,953,269 2,966,260
CASH - Beginning of the Year 6,056,105 3,089,845
CASH - End of Year 22,009,374 6,056,105
SUPPLEMENTAL CASH FLOW DISCLOSURES:    
Cash paid for income tax 991,599 913,288
Cash paid for interest 366,844 223,933
SUPPLEMENTAL NON-CASH INVESTING ACTIVITY:    
Long-term investment converted to fixed assets $ 6,219,960 $ 0