Quarterly report pursuant to Section 13 or 15(d)

Consolidated Balance Sheets

v3.19.3
Consolidated Balance Sheets - USD ($)
Sep. 30, 2019
Dec. 31, 2018
CURRENT ASSETS:    
Cash $ 20,420,442 $ 1,966,855
Accounts receivable, net of allowance for doubtful accounts 2,066,113 6,307,492
Due from related parties 40,038,786
Inventories, net of reserve for inventories 21,253,480 5,840,207
Prepaid expenses 948,059 644,824
Other receivables 566,463 698,450
Total Current Assets 85,293,343 15,457,828
OTHER ASSETS:    
Cost method investment 2,969,079 3,059,797
Equity method investment 27,663,103 28,872,521
Right-of-use asset 673,882
Property, plant and equipment, net 276,151,101 199,571,425
Total Other Assets 307,457,165 231,503,743
Total Assets 392,750,508 246,961,571
CURRENT LIABILITIES:    
Accounts payable 47,626,482 30,642,125
Accounts payable - related parties 319,056 3,244,843
Short-term bank loans 4,955,542 5,085,139
Long-term bank loans - current portion 51,676,116 8,487,295
Accrued liabilities and other payables 8,196,779 6,058,548
Lease liability- current liability 436,520
Due to related parties 23,328 19,555,277
Total Current Liabilities 113,233,823 73,073,227
OTHER LIABILITIES:    
Lease liability 198,282
Long-term bank loans - non-current portion 125,125,479 22,329,234
Total Other Liabilities 125,323,761 22,329,234
Total Liabilities 238,557,584 95,402,461
COMMITMENTS AND CONTINGENCIES
Equity attributable to owners of the company:    
Ordinary shares ($0.001 par value; 225,000,000 shares authorized; 79,055,053 shares issued and outstanding at September 30, 2019 and December 31, 2018) 79,055 79,055
Additional paid-in capital 81,682,599 81,682,599
Retained earnings 56,317,408 49,593,069
Statutory reserve 14,760,112 14,760,112
Accumulated other comprehensive loss (17,884,517) (13,448,047)
Total equity attributable to owners of the company 134,954,657 132,666,788
Non-controlling interest 19,238,267 18,892,322
Total Shareholders' Equity 154,192,924 151,559,110
Total Liabilities and Shareholders' Equity $ 392,750,508 $ 246,961,571