Merry Garden Holdings Limited reported consolidated cash flow results for the full year of 2015. For the period, the company reported net cash generated from operating activities was RMB 32,938,000 against net cash used in operating activities of RMB 103,702,000 a year ago. Payment for the purchase of property, plant and equipment was RMB 174,515,000 against RMB 105,550,000 a year ago.