Annual and transition report of foreign private issuers pursuant to Section 13 or 15(d)

Consolidated Statements of Changes in Equity

v3.7.0.1
Consolidated Statements of Changes in Equity
Common shares
USD ($)
shares
Common shares
CNY (¥)
shares
Treasury Shares
USD ($)
Treasury Shares
CNY (¥)
Additional paid-in capital
USD ($)
Additional paid-in capital
CNY (¥)
Accumulated other comprehensive loss
USD ($)
Accumulated other comprehensive loss
CNY (¥)
Noncontrolling interests
USD ($)
Noncontrolling interests
CNY (¥)
Retained earnings (Accumulated deficit)
USD ($)
Retained earnings (Accumulated deficit)
CNY (¥)
USD ($)
shares
CNY (¥)
shares
Balance at Mar. 31, 2014   ¥ 3,474,894   ¥ (1,029,766)   ¥ 437,964,776   ¥ (27,145,929)       ¥ (1,372,103)   ¥ 411,891,872
Balance (in shares) at Mar. 31, 2014 | shares 45,281,518 45,281,518                        
Increase (Decrease) in Stockholders' Equity                            
Net income (loss)                       23,055,720   23,055,720
Foreign currency translation adjustment, net of nil income tax               (30,753)           (30,753)
Share-based compensation (Note 13)       2,983,072   4,128,244               7,111,316
Share-based compensation (Note 13) (in shares) | shares 214,314 214,314                        
Issuance of common shares with net-settlement of employee individual income tax   ¥ 38,824   (1,792,215)   3,814,809               2,061,418
Issuance of common shares with net-settlement of employee individual income tax (in shares) | shares 577,064 577,064                        
Repurchase of common shares (Note 14)       (8,362,136)                   (8,362,136)
Repurchase of common shares (Note 14) (in shares) | shares (612,314) (612,314)                        
Special cash dividend (Note 15)           (58,405,029)               (58,405,029)
Balance at Mar. 31, 2015   ¥ 3,513,718   (8,201,045)   387,502,800   (27,176,682)       21,683,617   377,322,408
Balance (in shares) at Mar. 31, 2015 | shares 45,460,582 45,460,582                        
Increase (Decrease) in Stockholders' Equity                            
Net income (loss)                       26,051,187   26,051,187
Foreign currency translation adjustment, net of nil income tax               2,002,553           2,002,553
Share-based compensation (Note 13)           9,164,822               9,164,822
Issuance of common shares with net-settlement of employee individual income tax   ¥ 16,986       (791,340)               (774,354)
Issuance of common shares with net-settlement of employee individual income tax (in shares) | shares 273,766 273,766                        
Repurchase of common shares (Note 14)       (19,536,028)                   (19,536,028)
Balance at Mar. 31, 2016   ¥ 3,530,704   (27,737,073)   395,876,282   (25,174,129)       47,734,804   ¥ 394,230,588
Balance (in shares) at Mar. 31, 2016 | shares 45,734,348 45,734,348                     45,734,348 45,734,348
Increase (Decrease) in Stockholders' Equity                            
Net income (loss)                   ¥ (253,405)   (9,716,002) $ (1,448,368) ¥ (9,969,407)
Foreign currency translation adjustment, net of nil income tax               658,228         95,628 658,228
Unrealized loss on available-for-sale investment, net of nil income tax (Note 5)               (553,870)         (80,467) (553,870)
Share-based compensation (Note 13)           6,958,403               6,958,403
Issuance of common shares with net-settlement of employee individual income tax   ¥ 3,208       (203,255)               (200,047)
Issuance of common shares with net-settlement of employee individual income tax (in shares) | shares 48,376 48,376                        
Acquisition of non-controlling interests (Note 21)                   1,333,333       1,333,333
Balance at Mar. 31, 2017 $ 513,411 ¥ 3,533,912 $ (4,029,677) ¥ (27,737,073) $ 58,494,803 ¥ 402,631,430 $ (3,642,168) ¥ (25,069,771) $ 156,893 ¥ 1,079,928 $ 5,523,420 ¥ 38,018,802 $ 57,016,682 ¥ 392,457,228
Balance (in shares) at Mar. 31, 2017 | shares 45,782,724 45,782,724                     45,782,724 45,782,724