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Consolidated Balance Sheets(USD ($))
Jun. 30, 2012
Dec. 31, 2011
Jun. 30, 2012
Accrued interest on convertible notes - current
Dec. 31, 2011
Accrued interest on convertible notes - current
Jun. 30, 2012
Interest payable on Trust loans
Dec. 31, 2011
Interest payable on Trust loans
CURRENT ASSETS            
Cash & equivalents $ 41,648,502 $ 14,949,253        
Restricted cash 994,087 317,415        
Notes receivable 158,105 82,528        
Accounts receivable 139,413 19,113,812        
Current portion of investment in sales type leases, net 9,060,139 8,725,345        
Interest receivable on sales type leases 720,306 2,423,184        
Prepaid expenses 84,348 145,615        
Other receivables 122,250 530,283        
Advance to related party 438,082          
Prepaid loan fees - current 80,634 80,941        
Total current assets 53,445,866 46,368,376        
NON-CURRENT ASSETS            
Prepaid interest on trust loans 811,080 814,169        
Prepaid loan fees - noncurrent 241,901 283,293        
Investment in sales type leases, net 122,458,504 127,576,695        
Long term deposit 386,088 387,559        
Property and equipment, net 90,188 116,815        
Construction in progress 32,542,628 32,466,242        
Total non-current assets 156,530,389 161,644,773        
TOTAL ASSETS 209,976,255 208,013,149        
CURRENT LIABILITIES            
Accounts payable 2,361,170 3,907,854        
Notes payable - bank acceptances 1,468,403 634,830        
Taxes payable 569,653 2,943,034        
Accrued liabilities and other payables 1,572,150 1,279,558        
Advance from related parties 443,728 2,981,977        
Deferred tax liability 2,179,262 1,624,665        
Interest payable     48,000 168,000 2,480,386 345,311
Bank loans payable - current 14,387,580 6,983,129        
Trust loans payable - current 3,162,105 3,174,150        
Convertible notes, net of discount due to beneficial conversion feature 5,813,762 4,626,645        
Conversion feature liability on convertible notes   1,127,401        
Current portion of long term payable 1,234,665 1,183,516        
Total current liabilities 35,277,136 30,980,070        
NONCURRENT LIABILITIES            
Deferred tax liability, net 6,369,035 6,388,537        
Refundable deposit from customers 584,989 587,218        
Long term payable 4,343,215 4,999,718        
Bank loans payable 16,126,737 20,790,681        
Trust loans payable 31,383,896 31,503,436        
Total noncurrent liabilities 58,807,872 64,269,590        
Total liabilities 94,085,008 95,249,660        
CONTINGENCIES AND COMMITMENTS              
STOCKHOLDERS' EQUITY            
Common stock, $0.001 par value; 100,000,000 shares authorized, 46,474,350 shares issued and outstanding 46,475 46,475        
Additional paid in capital 55,528,955 55,416,140        
Statutory reserve 7,517,390 7,051,843        
Accumulated other comprehensive income 10,821,464 11,284,190        
Retained earnings 37,195,411 34,414,271        
Total Company stockholders' equity 111,109,695 108,212,919        
Noncontrolling interest 4,781,552 4,550,570        
Total equity 115,891,247 112,763,489        
TOTAL LIABILITIES AND EQUITY $ 209,976,255 $ 208,013,149