ATA INC (Parent Company) (Details 3)
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1 Months Ended | 12 Months Ended | ||||||||||
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Sep. 30, 2012
USD ($)
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Sep. 30, 2012
CNY
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Aug. 31, 2011
USD ($)
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Aug. 31, 2011
CNY
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Mar. 31, 2014
USD ($)
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Mar. 31, 2014
CNY
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Mar. 31, 2013
CNY
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Mar. 31, 2012
CNY
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Mar. 31, 2014
ATA INC.
USD ($)
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Mar. 31, 2014
ATA INC.
CNY
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Mar. 31, 2013
ATA INC.
CNY
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Mar. 31, 2012
ATA INC.
CNY
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Condensed Financial Statements | ||||||||||||
Net cash used in operating activities | $ 6,007,296 | 37,343,760 | 67,777,743 | 59,352,866 | $ (803,449) | (4,994,557) | (6,675,424) | (4,529,639) | ||||
Cash flows from investing activities : | ||||||||||||
Collection from (payment to) subsidiaries | (1,111,770) | (6,911,210) | 26,836,132 | 1,140,127 | ||||||||
Payment for XingWei acquisition | (1,580,771) | (9,826,706) | (3,154,900) | (19,612,120) | ||||||||
Net cash used in investing activities | (2,245,541) | (13,959,185) | (7,966,826) | (5,347,008) | (4,266,670) | (26,523,330) | 26,836,132 | 1,140,127 | ||||
Cash flows from financing activities : | ||||||||||||
Proceeds from exercise of share options | 631,844 | 631,844 | ||||||||||
Cash paid for employee individual income tax of net-settlement of vested shares | (91,352) | (567,881) | (913,453) | (913,453) | ||||||||
Cash paid for repurchase of common shares | (21,319) | (132,528) | (329,357) | (21,319) | (132,528) | (329,357) | ||||||
Collection of receivable from shareholders | 1,035,796 | 1,035,796 | ||||||||||
Special cash dividend | (4,000,000) | (25,331,341) | (9,800,000) | (63,634,726) | (25,331,341) | (63,634,726) | (25,331,341) | (63,634,726) | ||||
Net cash used in financing activities | (112,671) | (700,409) | (26,574,151) | (61,967,086) | (21,319) | (132,528) | (26,574,151) | (61,967,086) | ||||
Effect of foreign exchange rate changes on cash | (123,348) | (766,783) | (374,747) | (2,929,270) | (123,348) | (766,783) | (374,747) | (2,929,270) | ||||
Net decrease in cash | 3,525,736 | 21,917,383 | 32,862,019 | (10,890,498) | (5,214,786) | (32,417,198) | (6,788,190) | (68,285,868) | ||||
Cash at beginning of year | 6,715,243 | 41,744,636 | 48,532,826 | 116,818,694 | ||||||||
Cash at end of year | $ 1,500,457 | 9,327,438 | 41,744,636 | 48,532,826 |