Midas Holdings Limited announced unaudited consolidated cash flow results for the six months ended June 30, 2016. For the six months, the group net cash from operating activities of RMB 40,011,000 compared to net cash used in operating activities RMB 108,394,000 a year ago. Purchases of property, plant and equipment was RMB 155,792,000 million compared to RMB 231,504,000 a year ago. Purchase of land use rights was RMB 12,641,000.