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DISPOSAL OF SUBSIDIARIES (Details)
€ in Thousands, $ in Thousands, $ in Millions
1 Months Ended 12 Months Ended
Dec. 30, 2018
EUR (€)
Dec. 30, 2018
USD ($)
Sep. 29, 2016
CAD ($)
facility
director
Sep. 29, 2016
USD ($)
facility
director
Mar. 31, 2016
JPY (¥)
Mar. 31, 2016
USD ($)
Jan. 31, 2017
CAD ($)
facility
MW
Jan. 31, 2017
USD ($)
facility
MW
Dec. 31, 2018
USD ($)
Dec. 31, 2017
USD ($)
Dec. 31, 2016
USD ($)
DETAILS OF PRINCIPAL SUBSIDIARIES NOW COMPRISING THE GROUP                      
Cash consideration received       $ (7,998)              
Gain(Loss) on disposal of subsidiaries       10,082         $ (1,288) $ 1,875 $ 11,768
Net assets (liabilities) of subsidiary disposed                      
Current Assets                 174,720 138,402  
Cash and cash equivalents                 43,831 46,084 12,518
Trade and other receivables                 20,535 34,582  
Net deferred tax assets                 32,382 23,500 9,581
Non-current Assets                 410,497 442,706  
IPP solar parks                 353,050 397,405  
Other noncurrent assets                 1,246 1,411  
Intangible assets other than goodwill                 85 126  
Current Liabilities                 (224,348) (171,933)  
Trade and other payables                 (31,972) (29,043)  
Tax payable                 (11,806) (2,340)  
Borrowing                 (49,700) (19,702)  
Non-current Liabilities                 (282,662) (302,947)  
Deferred tax liabilities                 (3,159) (2,784) (330)
Long-term borrowing                 (207,057) (230,027)  
Net assets (liabilities)       1,022         78,207 106,228  
Gain (Loss) on disposal of a subsidiary                      
Cash consideration received       (7,998)              
Net assets\liabilities disposed of       (1,022)         (78,207) (106,228)  
Cumulative gain/loss on hedging instrument reclassified from equity on loss of control of subsidiary       (1,126)              
Re-evaluate fair value of residual investment       2,188              
Gain(Loss) on disposal of subsidiaries       10,082         (1,288) 1,875 11,768
Cash Inflow (Outflow) on disposal of a subsidiary                      
Consideration received in cash and cash equivalent       $ (7,998)              
Net cash outflow arising on disposal                 $ (64) $ 41,056 $ 4,118
Solar Tech K.K.                      
DETAILS OF PRINCIPAL SUBSIDIARIES NOW COMPRISING THE GROUP                      
Cash consideration received         ¥ 900,000 $ 8          
Gain(Loss) on disposal of subsidiaries           1,686          
Net assets (liabilities) of subsidiary disposed                      
Current Assets           924          
Cash and cash equivalents           628          
Trade and other receivables           213          
Net deferred tax assets           83          
Non-current Assets           4,578          
IPP solar parks           3,758          
Long term deposit and others           820          
Current Liabilities           (696)          
Trade and other payables           (689)          
Tax payable           (7)          
Non-current Liabilities           (6,484)          
Long-term borrowing           (6,484)          
Net assets (liabilities) disposed           (1,678)          
Net assets (liabilities)           1,678          
Gain (Loss) on disposal of a subsidiary                      
Cash consideration received         900,000 8          
Net assets\liabilities disposed of           (1,678)          
Gain(Loss) on disposal of subsidiaries           1,686          
Cash Inflow (Outflow) on disposal of a subsidiary                      
Consideration received in cash and cash equivalent           628          
Consideration received in cash and cash equivalent         ¥ 900,000 8          
Less: Cash and cash equivalent balances disposed of           628          
Net cash outflow arising on disposal           $ 620          
1088526 B.C. Ltd.                      
DETAILS OF PRINCIPAL SUBSIDIARIES NOW COMPRISING THE GROUP                      
Percentage of Preferred shares sold     25.00% 25.00%              
Cash consideration received     $ 10.6 $ 7,998              
Number of facilities | facility     15 15              
Gain(Loss) on disposal of subsidiaries       $ 10,000              
Equity interest (as a percent)     75.00% 75.00%              
Number of directors appointed by the Group | director     2 2              
Number of total directors | director     4 4              
Net assets (liabilities) of subsidiary disposed                      
Current Assets       $ 3,882              
Cash and cash equivalents       3,260              
Trade and other receivables       397              
Other current assets       225              
Non-current Assets       13,089              
IPP solar parks       13,089              
Current Liabilities       (1,036)              
Trade and other payables       (134)              
Borrowing       (902)              
Non-current Liabilities       (16,957)              
Long-term borrowing       (15,539)              
Swap liability       (1,418)              
Net assets (liabilities) disposed       (1,022)              
Gain (Loss) on disposal of a subsidiary                      
Cash consideration received     $ 10.6 7,998              
Gain(Loss) on disposal of subsidiaries       10,000              
Cash Inflow (Outflow) on disposal of a subsidiary                      
Consideration received in cash and cash equivalent       (3,260)              
Consideration received in cash and cash equivalent     $ 10.6 7,998              
Less: Cash and cash equivalent balances disposed of       (3,260)              
Net cash outflow arising on disposal       $ 4,738              
1091187 B.C. Ltd.                      
DETAILS OF PRINCIPAL SUBSIDIARIES NOW COMPRISING THE GROUP                      
Percentage of Preferred shares sold             25.00% 25.00%      
Cash consideration received             $ 4.0 $ 2,979      
Number of facilities | facility             6 6      
Gain(Loss) on disposal of subsidiaries               $ 1,464      
Net assets (liabilities) of subsidiary disposed                      
Current Assets               295      
Cash and cash equivalents               284      
Trade and other receivables               11      
Non-current Assets               3,294      
IPP solar parks               3,253      
Other noncurrent assets               41      
Current Liabilities               (143)      
Trade and other payables               (62)      
Borrowing               (81)      
Non-current Liabilities               (1,319)      
Long-term borrowing               (1,319)      
Net assets (liabilities) disposed               2,127      
Net assets (liabilities)               (2,127)      
Gain (Loss) on disposal of a subsidiary                      
Cash consideration received             $ 4.0 2,979      
Net assets\liabilities disposed of               2,127      
Re-evaluate fair value of residual investment               612      
Gain(Loss) on disposal of subsidiaries               1,464      
Cash Inflow (Outflow) on disposal of a subsidiary                      
Consideration received in cash and cash equivalent               (284)      
Consideration received in cash and cash equivalent             $ 4.0 2,979      
Less: Cash and cash equivalent balances disposed of               (284)      
Net cash outflow arising on disposal               $ 2,695      
1091187 B.C. Ltd. | Ordinary shares                      
DETAILS OF PRINCIPAL SUBSIDIARIES NOW COMPRISING THE GROUP                      
Percentage of Shares Issued             75.00% 75.00%      
1091187 B.C. Ltd. | Preferred Shares                      
DETAILS OF PRINCIPAL SUBSIDIARIES NOW COMPRISING THE GROUP                      
Percentage of Shares Issued             25.00% 25.00%      
Companies based in Cypriot                      
DETAILS OF PRINCIPAL SUBSIDIARIES NOW COMPRISING THE GROUP                      
Cash consideration received             $ 39.7 $ 41,915      
Number of facilities             20 20      
Solar Generating Capacity | MW             23.0 23.0      
Gain(Loss) on disposal of subsidiaries               $ 416      
Net assets (liabilities) of subsidiary disposed                      
Current Assets               10,590      
Cash and cash equivalents               3,633      
Trade and other receivables               6,957      
Non-current Assets               32,827      
IPP solar parks               31,431      
Other noncurrent assets               1,396      
Current Liabilities               (1,918)      
Trade and other payables               (1,918)      
Net assets (liabilities) disposed               41,499      
Net assets (liabilities)               (41,499)      
Gain (Loss) on disposal of a subsidiary                      
Cash consideration received             $ 39.7 41,915      
Net assets\liabilities disposed of               41,499      
Gain(Loss) on disposal of subsidiaries               416      
Cash Inflow (Outflow) on disposal of a subsidiary                      
Consideration received in cash and cash equivalent               (3,633)      
Consideration received in cash and cash equivalent             $ 39.7 41,915      
Less: Cash and cash equivalent balances disposed of               (3,633)      
Net cash outflow arising on disposal               $ 38,282      
GRANSOLAR CUBIERTAS 3, S.L.U ("GSC3") and GRANSOLAR CUBIERTA 7, S.L.U ("GSC7")                      
DETAILS OF PRINCIPAL SUBSIDIARIES NOW COMPRISING THE GROUP                      
Cash consideration received € (796) $ (911)                  
Gain(Loss) on disposal of subsidiaries   (1,288)                  
Net assets (liabilities) of subsidiary disposed                      
Current Assets   111                  
Cash and cash equivalents   64                  
Trade and other receivables   48                  
Non-current Assets   2,418                  
IPP solar parks   2,415                  
Intangible assets other than goodwill   3                  
Current Liabilities   (127)                  
Trade and other payables   (103)                  
Tax payable   (14)                  
Borrowing   (10)                  
Non-current Liabilities   (177)                  
Deferred tax liabilities   (177)                  
Net assets (liabilities)   2,225                  
Gain (Loss) on disposal of a subsidiary                      
Cash consideration received (796) (911)                  
Cash receivable   64                  
Net assets\liabilities disposed of   (2,225)                  
Exchange difference   (38)                  
Gain(Loss) on disposal of subsidiaries   (1,288)                  
Cash Inflow (Outflow) on disposal of a subsidiary                      
Consideration received in cash and cash equivalent   (64)                  
Consideration received in cash and cash equivalent € (796) (911)                  
Less: Cash and cash equivalent balances disposed of   (64)                  
Net cash outflow arising on disposal   $ (64)